Role: Murex Business Analyst Front to Back.
Location: Vancouver BC (Onsite).
Duration: Long Term Contract.
Reworked Job Description:
- The Murex Business Analyst will own requirements gathering functional design and end-to-end delivery across the Murex trade lifecycle (Front to Back Office) covering FX Fixed Income Derivatives MBS Swaps Repos and structured products. This senior role spans Trade Entry Risk (MLC/VaR) Collateral Custody Accounting Reporting and integrations with State Street Treasury Workday and more.
Core Responsibilities by Area:
1. Front Office / Trade Entry:
- Document requirements for pricing booking templates trade capture validations and market data workflows.
- Support product coverage (FX FI Derivatives MBS Swaps Repos) including calendars pay/receive legs and conventions.
2. Middle Office:
- Design STP workflows exception handling confirmations settlement instructions and lifecycle events (amend/cancel/novation).
- Implement limits checks P&L attribution and repair queues.
3. Back Office:
- Specify settlement payments Nostro/Vostro netting batching corporate actions and EoD controls.
4. Accounting:
- Map trade events to IFRS/GAAP postings chart of accounts and month-end processes.
- Interface with Workday for cost centers and GL integrations.
5. Reporting:
- Design regulatory/management reports (positions P&L sensitivities cash ladders) with data lineage and SLAs.
6. Risk (MLC & VaR):
- Configure MLC limit frameworks breach workflows and VaR models (historical/Monte Carlo) with market data governance.
7. Custody:
- Define interfaces for securities custody SWIFT messaging fails and position reconciliations.
8. Collateral Management:
- Implement VM/IM margining eligibility haircuts thresholds and CSA/GMSLA compliance.
9. Integrations:
- State Street: FX feeds market data booking validations.
- Treasury: Bi-directional messaging for deals/settlements.
- Workday: Org hierarchies/cost centers.
- SharePoint: Document repositories.
- Jenkins: CI/CD for configs.
10. Delivery & Governance:
- Author BRDs/FRDs traceability matrices RAID logs.
- Lead SIT/UAT test data cutover and hypercare.
Top 3 Skills (As Specified):
- Strong functional expertise in Murex across Front Office Middle Office Back Office Proven experience spanning trade lifecycle products (FX/FI/Derivs/MBS/Swaps/Repos) and modules (MLC/VaR/Collateral).
- Proven experience designing technical components within the Murex ecosystem and establishing foundational business analysis for seamless developer implementation Expertise in creating actionable specs for Murex configs workflows and integrations.
- Deep understanding of Capital Markets domain Comprehensive knowledge of trading risk collateral custody accounting and regulatory reporting.
Required Experience & Qualifications:
- 8 years as Murex BA or equivalent with front-to-back implementations in Capital Markets.
- Deep product knowledge: FX Fixed Income Derivatives MBS Swaps Repos.
- Integration experience with State Street Treasury Workday custody systems.
- Strong documentation skills (BRDs FRDs traceability).
- Agile delivery experience including testing cutover and hypercare.
- Excellent communication for business/tech collaboration.
Role: Murex Business Analyst Front to Back. Location: Vancouver BC (Onsite). Duration: Long Term Contract. Reworked Job Description: The Murex Business Analyst will own requirements gathering functional design and end-to-end delivery across the Murex trade lifecycle (Front to Back Office) c...
Role: Murex Business Analyst Front to Back.
Location: Vancouver BC (Onsite).
Duration: Long Term Contract.
Reworked Job Description:
- The Murex Business Analyst will own requirements gathering functional design and end-to-end delivery across the Murex trade lifecycle (Front to Back Office) covering FX Fixed Income Derivatives MBS Swaps Repos and structured products. This senior role spans Trade Entry Risk (MLC/VaR) Collateral Custody Accounting Reporting and integrations with State Street Treasury Workday and more.
Core Responsibilities by Area:
1. Front Office / Trade Entry:
- Document requirements for pricing booking templates trade capture validations and market data workflows.
- Support product coverage (FX FI Derivatives MBS Swaps Repos) including calendars pay/receive legs and conventions.
2. Middle Office:
- Design STP workflows exception handling confirmations settlement instructions and lifecycle events (amend/cancel/novation).
- Implement limits checks P&L attribution and repair queues.
3. Back Office:
- Specify settlement payments Nostro/Vostro netting batching corporate actions and EoD controls.
4. Accounting:
- Map trade events to IFRS/GAAP postings chart of accounts and month-end processes.
- Interface with Workday for cost centers and GL integrations.
5. Reporting:
- Design regulatory/management reports (positions P&L sensitivities cash ladders) with data lineage and SLAs.
6. Risk (MLC & VaR):
- Configure MLC limit frameworks breach workflows and VaR models (historical/Monte Carlo) with market data governance.
7. Custody:
- Define interfaces for securities custody SWIFT messaging fails and position reconciliations.
8. Collateral Management:
- Implement VM/IM margining eligibility haircuts thresholds and CSA/GMSLA compliance.
9. Integrations:
- State Street: FX feeds market data booking validations.
- Treasury: Bi-directional messaging for deals/settlements.
- Workday: Org hierarchies/cost centers.
- SharePoint: Document repositories.
- Jenkins: CI/CD for configs.
10. Delivery & Governance:
- Author BRDs/FRDs traceability matrices RAID logs.
- Lead SIT/UAT test data cutover and hypercare.
Top 3 Skills (As Specified):
- Strong functional expertise in Murex across Front Office Middle Office Back Office Proven experience spanning trade lifecycle products (FX/FI/Derivs/MBS/Swaps/Repos) and modules (MLC/VaR/Collateral).
- Proven experience designing technical components within the Murex ecosystem and establishing foundational business analysis for seamless developer implementation Expertise in creating actionable specs for Murex configs workflows and integrations.
- Deep understanding of Capital Markets domain Comprehensive knowledge of trading risk collateral custody accounting and regulatory reporting.
Required Experience & Qualifications:
- 8 years as Murex BA or equivalent with front-to-back implementations in Capital Markets.
- Deep product knowledge: FX Fixed Income Derivatives MBS Swaps Repos.
- Integration experience with State Street Treasury Workday custody systems.
- Strong documentation skills (BRDs FRDs traceability).
- Agile delivery experience including testing cutover and hypercare.
- Excellent communication for business/tech collaboration.
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