





Mid-level metro role but niche Murex specialization reduces broad applicant density.
Highly specialized Murex and capital markets skills limit cross-industry transferability.
Mandatory 5+ years Murex experience, domain expertise, and regulatory knowledge create strict filters.
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Translate complex capital markets business requirements into functional Murex specifications supporting trading, risk, and post-trade workflows.
Configure and implement Murex modules (MX.3 preferred) across asset classes such as FX, Interest Rate Derivatives, and Credit including validation rules and pricing templates.
Lead testing including User Acceptance Testing, support lifecycle deployments, and provide functional support during critical market go-live events.
5+ years hands-on experience with Murex (MX.3 preferred).
Deep understanding of trade lifecycle and financial instruments in Capital Markets including FX, Interest Rate Derivatives, or Credit.
Proficiency in writing BRDs, FRDs, user stories, and SQL queries for data analysis.
Work Experience Required: 5+ years in Murex Business Analysis and configuration.
Experienced in collaborating with front, middle, and back-office teams within Capital Markets trading and risk environments.
Comfortable working in Agile or Scrum methodologies in a global, cross-functional team setting.
Demonstrated ability to handle regulatory knowledge related to Capital Markets such as EMIR, MiFID II, or Dodd-Frank.