Project descriptionDXC Luxoft has one of the world's leading Murex practices. We are a top-tier Murex Alliance Partner and a market leader in implementation, integration, upgrade, and migration. We provide end-to-end project services and have delivered over 200 successful Murex projects across all major asset classes and sectors including investment banking, asset management, corporate treasury, and insurance.Whether you possess a background in finance, technology, or Mathematics, your experience in the capital markets industry would be of high interest to us.Responsibilities- Resolve daily FO issues on both functional, valuation, and pricing- Liaise with technical team(s) -- when needed -- to resolve FO related issues and necessary enhancements- Develop FO Business requirements per given stream and according to Project needs as they come along- Yield Curve management and validation;
curve assignments;
new curve creation- Products (IRD, CRD, EQD) management and validation- Manage day-to-day assigned project tasks to complete various FO deliverables- Contribute and assist existing support group(s) in resolving request or issues with P&L, Market Data, and booking issues- Analyze, formulate, proposed, develop and/or contribute to overall solutions as per project deliverables- Continuous follow-up of new Market regulations/practices globally- Perform various levels of testing for assigned deliverables as well as participate in formal release cycles (SIT/UAT)SkillsMust have- Very Strong product knowledge in IRD, CRD, EQD, FX- Very strong understanding of IRD, CRD, EQD, FX business- Very Strong understanding on P&L concept overall and its components- Very Strong understanding and hands-on experience in Market Data, Curve structure, Simulations, and Trade Life Cycle- Strong analytical, pricing, and conceptual skills- Strong problem solving skills and attention to detail- Strong presentation skills- Strong relationship building skills both internally and externally- Strong experience in supporting FO users and resolving their daily issues- Good understanding of Market Risk Management (including VaR, stress-tests, back-testing)Must:- 6+ years experience on Murex with FO functionalities/module- experience in financial markets- Must have strong personality, logical and analytical skills- Be detailed-oriented, a quick learner and self-starter- Possess good verbal and written communication skills- Must have strong organization skillsNice to have- BS or higher degree in Finance, Mathematics or equivalent- Implementations and upgrades of vendor packages like: Calypso, Open Link, Summit, ...Etc.- Test management- Trade life cycle management- Market Data management- Knowledge in SQL (Oracle and/or Sybase) and Unix commands is a plus- Client focus: understands clients' businesses;
identifies and understands the needs and objectives of clients, both on an individual and corporate basis;
builds strong relationships to aid Excelian's aim of being a trusted partner to the clients.- Communication skills: expresses ideas effectively, both verbally and in writing;
adjusts language, terminology and non-verbal communication as appropriate.- Teamwork: works effectively with others;
helps to build strong teams and networks.- Personal leadership: realistically identifies own skills, experience, knowledge and other personal attributes;
displays confidence andresilience.- Planning and organizing: identifies and meets milestones;
understands and articulates deliverables;
assesses and mitigates risks;
sticks to the scope of work and manages any changes.- Analytical decision-making: identifies and solves problems using insight and experience to make good decisions;
gathers relevant information, identifying important issues and drawing conclusions.LanguagesEnglish: C2 ProficientSpanish: C2 ProficientSenioritySenior