Key Responsibilities
- Gather, analyse and document business requirements for collateral management.
- Design and configure Murex MX.3 Collateral solutions aligned to business and regulatory requirements.
- Support end-to-end collateral processes including Initial Margin (IM), Variation Margin (VM), CSA management, margin calls, settlements, collateral optimization and dispute management.
- Collaborate with Front Office, Operations, Risk, Treasury and Technology teams throughout the project lifecycle.
- Support functional testing, SIT, UAT, production releases and post-go-live activities.
- Work with technical teams to integrate Murex with market infrastructure and enterprise systems.
Required Skills & Experience
- 5+ years of experience as a Business Analyst or Functional Consultant on Murex MX.3.
- Strong hands-on experience with the Murex Collateral Management module.
- Good understanding of OTC derivatives, FX, Fixed Income, Repos and Securities Financing products.
- Strong knowledge of collateral concepts including IM, VM, CSA, ISDA, SIMM, Haircuts, Eligibility Rules, Margin Calls and Exposure Management.
- Experience in Murex configuration, functional design, testing and implementation.
- Working knowledge of SQL, Unix/Linux and MxML.
Good to Have
- Experience with AcadiaSoft, TriResolve or other collateral management platforms.
- Knowledge of Uncleared Margin Rules (UMR), BCBS-IOSCO and Basel III.
- Exposure to Agile delivery, DevOps and Cloud platforms.
- Experience integrating Murex with SWIFT, Custodian Banks and settlement platforms.
- Python or Java development exposure.
Soft Skills
- Excellent communication and stakeholder management skills.
- Strong analytical and problem-solving abilities.
- Ability to work effectively with cross-functional and global teams.
- Self-driven with a collaborative and delivery-focused mindset.