Please review the JD below and let me know if you have any further questions.
The HM states that we should focus on front office/back office functions and Murex integration. Risk and accounting can be discussed further in L1 interview and the HM is willing to prep the candidate if they are not as strong in this department.
- Job Title: Sr. BA
- End Client: Central 1 Credit
- Client Address: 1441 Creekside Dr Vancouver BC V6J 4S8 Canada
- Work Model: Onsite everyday
- Max Vendor Rate: $80/hr CAD on T4 or 90/hr CAD on Incorp.
| Job Description/ Responsibilities | Job Title: Murex Business Analyst Front to Back Role Overview We are seeking an experienced Murex Business Analyst to lead requirements design and delivery across the full front to back trade lifecycle on Murex. The role spans Trade Entry Middle Office Back Office Accounting Reporting Risk (incl. MLC & VaR) Custody and Collateral Management covering products such as FX Fixed Income Derivatives MBS and structured transactions including Swaps and Repos. You will collaborate with business operations risk finance and technology teams and own integrations with upstream/downstream systems. Key Responsibilities 1) Front Office / Trade Entry - Gather and document front office requirements for pricing booking workflows trade capture templates and validations.
- Configure/coordinate Murex Front Office (FO) workflows trade event lifecycles and market data usage.
- Ensure support for FX Fixed Income Derivatives MBS Swaps and Repos including deal attributes calendars pay/receive legs and day count conventions.
2) Middle Office - Design STP workflows exception handling repair queues and enrichment rules.
- Define confirmations settlement instructions and matching (incl. electronic confirms if applicable).
- Implement lifecycle events (amend cancel partials novations) limits checks and P&L/PAA attribution where relevant.
3) Back Office - Specify settlement payments cash flows and Nostro/Vostro processing.
- Align cut offs netting batching and corporate actions for Fixed Income/MBS.
- Define controls for reconciliations and EoD processes; support operational playbooks.
4) Accounting - Map products/events to accounting rules and chart of accounts; align with IFRS/GAAP policies.
- Translate trade lifecycle events into postings validate glossaries and accounting schemes and support month end close.
- Interface with Workday for HR/cost center impacts (if applicable) and general ledger integrations.
5) Reporting - Design regulatory management and operational reports: positions P&L sensitivities cash ladders settlements and exception dashboards.
- Define data lineage timeliness/accuracy SLAs and BI extracts; enable auditability for controls.
6) Risk (MLC & VaR) - Set up Market Limits Control (MLC) frameworks: limit hierarchies breach workflows alerts and approvals.
- Define VaR methodologies (historical/variance covariance/Monte Carlo) horizons confidence levels and back testing; coordinate market data (curves vol surfaces CDS spreads) and model governance.
- Align with risk appetite statements stress testing and scenario analysis.
7) Custody - Specify interfaces and workflows for securities custody asset servicing settlement status and position reconciliations.
- Define SWIFT/custodian messaging confirmations fails management and corporate actions processing.
8) Collateral Management - Implement margining (VM/IM) eligibility schedules haircuts thresholds and disputes management.
- Configure collateral calls settlement rehypothecation rules and integration with legal agreements (CSA/GMSLA).
- Align collateral optimization across liquidity and funding constraints.
9) Integrations & Interfaces (Upstream/Downstream) - State Street: Design inbound FX trade feeds market/price data ingestion and booking validations.
- Treasury: Define bi directional messaging for deal capture settlements status updates and reconciliations.
- Workday: Map organizational hierarchies/cost centers impacting accounting/reporting; align HR changes with entitlements.
- SharePoint: Design document repositories for trade confirms SOPs and governance artifacts with appropriate access controls.
- Jenkins: Coordinate CI/CD for configuration packages automated deployments and environment management.
- Define message formats (XML/CSV/JSON) frequency error handling retry logic and reconciliation controls; maintain interface specifications and versioning.
10) Delivery Testing & Governance - Create BRDs/FRDs configuration matrices and traceability; run RAID logs and program governance.
- Lead E2E testing: SIT UAT regression and parallel runs; establish test data strategies
- Drive change management: training cutover migration and post go live stabilization.
|
| What are the top 3 skills required for this role | 1. Strong functional expertise in Murex across Front Office Middle Office Back Office 2. Proven experience in designing technical components within the Murex ecosystem and establishing foundational business analysis for seamless developer implementation 3. Deep understanding of Capital Markets domain |
| Additional Information: Team size direct reports key deliverables unique selling points additional qualifications team culture etc. | Assess and document the current Murex implementation Define and maintain a comprehensive product backlog Upon completion of the initial contract period an extension may be considered based on the finalized project pipeline. |
Please review the JD below and let me know if you have any further questions. The HM states that we should focus on front office/back office functions and Murex integration. Risk and accounting can be discussed further in L1 interview and the HM is willing to prep the candidate if they are not a...
Please review the JD below and let me know if you have any further questions.
The HM states that we should focus on front office/back office functions and Murex integration. Risk and accounting can be discussed further in L1 interview and the HM is willing to prep the candidate if they are not as strong in this department.
- Job Title: Sr. BA
- End Client: Central 1 Credit
- Client Address: 1441 Creekside Dr Vancouver BC V6J 4S8 Canada
- Work Model: Onsite everyday
- Max Vendor Rate: $80/hr CAD on T4 or 90/hr CAD on Incorp.
| Job Description/ Responsibilities | Job Title: Murex Business Analyst Front to Back Role Overview We are seeking an experienced Murex Business Analyst to lead requirements design and delivery across the full front to back trade lifecycle on Murex. The role spans Trade Entry Middle Office Back Office Accounting Reporting Risk (incl. MLC & VaR) Custody and Collateral Management covering products such as FX Fixed Income Derivatives MBS and structured transactions including Swaps and Repos. You will collaborate with business operations risk finance and technology teams and own integrations with upstream/downstream systems. Key Responsibilities 1) Front Office / Trade Entry - Gather and document front office requirements for pricing booking workflows trade capture templates and validations.
- Configure/coordinate Murex Front Office (FO) workflows trade event lifecycles and market data usage.
- Ensure support for FX Fixed Income Derivatives MBS Swaps and Repos including deal attributes calendars pay/receive legs and day count conventions.
2) Middle Office - Design STP workflows exception handling repair queues and enrichment rules.
- Define confirmations settlement instructions and matching (incl. electronic confirms if applicable).
- Implement lifecycle events (amend cancel partials novations) limits checks and P&L/PAA attribution where relevant.
3) Back Office - Specify settlement payments cash flows and Nostro/Vostro processing.
- Align cut offs netting batching and corporate actions for Fixed Income/MBS.
- Define controls for reconciliations and EoD processes; support operational playbooks.
4) Accounting - Map products/events to accounting rules and chart of accounts; align with IFRS/GAAP policies.
- Translate trade lifecycle events into postings validate glossaries and accounting schemes and support month end close.
- Interface with Workday for HR/cost center impacts (if applicable) and general ledger integrations.
5) Reporting - Design regulatory management and operational reports: positions P&L sensitivities cash ladders settlements and exception dashboards.
- Define data lineage timeliness/accuracy SLAs and BI extracts; enable auditability for controls.
6) Risk (MLC & VaR) - Set up Market Limits Control (MLC) frameworks: limit hierarchies breach workflows alerts and approvals.
- Define VaR methodologies (historical/variance covariance/Monte Carlo) horizons confidence levels and back testing; coordinate market data (curves vol surfaces CDS spreads) and model governance.
- Align with risk appetite statements stress testing and scenario analysis.
7) Custody - Specify interfaces and workflows for securities custody asset servicing settlement status and position reconciliations.
- Define SWIFT/custodian messaging confirmations fails management and corporate actions processing.
8) Collateral Management - Implement margining (VM/IM) eligibility schedules haircuts thresholds and disputes management.
- Configure collateral calls settlement rehypothecation rules and integration with legal agreements (CSA/GMSLA).
- Align collateral optimization across liquidity and funding constraints.
9) Integrations & Interfaces (Upstream/Downstream) - State Street: Design inbound FX trade feeds market/price data ingestion and booking validations.
- Treasury: Define bi directional messaging for deal capture settlements status updates and reconciliations.
- Workday: Map organizational hierarchies/cost centers impacting accounting/reporting; align HR changes with entitlements.
- SharePoint: Design document repositories for trade confirms SOPs and governance artifacts with appropriate access controls.
- Jenkins: Coordinate CI/CD for configuration packages automated deployments and environment management.
- Define message formats (XML/CSV/JSON) frequency error handling retry logic and reconciliation controls; maintain interface specifications and versioning.
10) Delivery Testing & Governance - Create BRDs/FRDs configuration matrices and traceability; run RAID logs and program governance.
- Lead E2E testing: SIT UAT regression and parallel runs; establish test data strategies
- Drive change management: training cutover migration and post go live stabilization.
|
| What are the top 3 skills required for this role | 1. Strong functional expertise in Murex across Front Office Middle Office Back Office 2. Proven experience in designing technical components within the Murex ecosystem and establishing foundational business analysis for seamless developer implementation 3. Deep understanding of Capital Markets domain |
| Additional Information: Team size direct reports key deliverables unique selling points additional qualifications team culture etc. | Assess and document the current Murex implementation Define and maintain a comprehensive product backlog Upon completion of the initial contract period an extension may be considered based on the finalized project pipeline. |
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