Murex Data Quality Specialist

2 weeks ago


New York, New York, United States ApTask Full time
About the Role

We are seeking a highly skilled Murex Analyst to join our team at ApTask. As a Murex Analyst, you will play a critical role in generating and assessing critical financial data within the Murex platform, supporting quantitative analysts, and validating risk models.

Key Responsibilities
  • Collaborate with various teams to generate accurate and reliable financial data using the Murex and Calculation engine platforms.
  • Troubleshoot and resolve issues pertaining to data quality, ensuring the integrity of static, market data, and scenario analysis.
  • Manage the rerun and adjustment of data/files in response to user requests, providing end-to-end support within the Risk framework.
  • Develop and execute detailed test plans for new enhancements and products initiated by the Front Office or Risk teams, requiring thorough analytics documentation and validation.
  • Maintain a comprehensive knowledge base, including support scripts, documentation, and procedural guidelines for Murex-related operations.
  • Work closely with IT teams to facilitate and support the integration of Murex with other platforms and systems within the organization.
  • Provide expertise in derivatives across lines of business, including Interest Rate Derivatives (IRD), Foreign Exchange Options (FXO), and Equity Derivatives (EQD).
  • Apply strong front office and market risk experience to support trading and risk management functions effectively.
  • Utilize hands-on experience in stress testing, Value at Risk (VaR), Fundamental Review of the Trading Book (FRTB), time series analysis, and financial instrument valuation.
  • Leverage skills in SQL for data manipulation and analysis, as well as Python, ANT scripting, and JSON formatting for various data and reporting tasks.
Requirements
  • Proven experience in the derivatives market, particularly in IRD, FXO, and EQD.
  • Strong background in front office operations and market risk management.
  • Practical knowledge of stress testing, VaR, FRTB, time series, and valuation methodologies.
  • Proficiency in SQL and the ability to create complex queries for financial data analysis.
  • Experience with scripting languages such as Python and ANT, and familiarity with JSON data format.
  • Bachelor's degree in Finance, Computer Science, Mathematics, or a related field.
Good to Have
  • Direct experience with Murex 3.1, including configuration and operation.
  • Background in market risk across various asset classes or cross-platform implementation projects.


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