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Open nowPosted 23 days ago

Consultant Senior Murex Treasury BA

swordservices25 open roles

Where
Genève, Genève, Suisse
Work mode
Hybrid
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Your applicationOpen nowConsultant Senior Murex Treasury BAswordservices · Genève, Genève, Suisse
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The clock on this job

Early applications get read.

7.8% of postings close within 7 days. Measured by our own scanner across the market. swordservices postings stay open a median of 1 days.

Share of postings closed within
  1. 1.6%1 day
  2. 3.4%3 days
  3. 7.8%7 days
  4. 14.3%14 days
  5. 33.7%30 days
This job: posted 23 days ago

swordservices median: 1 days open

The posting

Nous ouvrons un poste de Murex Treasury Business Analyst afin de renforcer une équipe spécialisée dans la transformation et l’optimisation des fonctions Trésorerie au sein d’un environnement bancaire complexe. La mission consiste à piloter la conception et le déploiement des capacités Treasury sous Murex MX.3, en assurant une cohérence fonctionnelle entre les équipes Front Office, Risques, Finance, Comptabilité et Opérations.

Responsabilités du poste

  • Concevoir et mettre en œuvre les processus Treasury dans Murex MX.3, en couvrant les enjeux de financement, de liquidité, de gestion du risque du banking book et d’optimisation du collatéral.
  • Définir les modèles de gestion de trésorerie, incluant les mécanismes de cash management, de financement overnight, de projections de liquidité et de rapprochements de flux.
  • Participer à la construction et à l’intégration des modèles FTP (Funds Transfer Pricing) avec les systèmes Finance et les outils de reporting de performance.
  • Développer et maintenir une vision consolidée des inventaires titres et liquidités en prenant en compte les contraintes de règlement-livraison et d’encours disponibles.
  • Accompagner la mise en place des processus de hedge accounting, des tests d’efficacité ainsi que des rapprochements comptables associés.
  • Superviser les workflows liés au collatéral, aux opérations de repo, de prêt-emprunt de titres et aux appels de marge, en garantissant le respect des règles d’éligibilité et d’allocation.
  • Assurer l’intégration de plateformes externes de marché et de post-trade, notamment pour les échanges de données, le suivi du cycle de vie des opérations et les réconciliations.
  • Contribuer aux différentes phases projets : cadrage, paramétrage, migration, tests, mise en production, support post-déploiement et résolution des incidents complexes.
  • Expertise confirmée sur Murex MX.3, avec une spécialisation Trésorerie et une connaissance approfondie des produits Fixed Income, dérivés de taux, marchés monétaires et financement de titres.
  • Solide compréhension des problématiques de liquidité, de gestion du collatéral, de financement bancaire, d’inventaire titres et de comptabilité associée.
  • Expérience significative dans la conduite de projets Murex d’envergure, couvrant l’ensemble de la chaîne front-to-back.
  • Maîtrise des activités de repo, triparty, securities finance, cash management et hedge accounting.
  • Bonne connaissance des interfaces avec les plateformes de marché et de post-trade ainsi que des mécanismes de réconciliation.
  • Capacité à coordonner des parties prenantes métiers et techniques dans un contexte international et transversal.
  • Expérience appréciée dans des environnements bancaires globaux multi-entités, multi-devises et multi-réglementaires.
  • Excellent niveau d’analyse, d’autonomie et aptitude à résoudre des problématiques complexes impliquant plusieurs systèmes.
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