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Manage end-to-end accounting configurations in Murex MX.3, including trade-level accounting rules, filters, and formula-based rule setups
Engage with stakeholders across Group Finance, Accounting Reconciliation, and Treasury Operations to gather and translate business requirements into accurate Murex accounting configurations, ensuring complete GL posting accuracy
Understand end-to-end product life cycles and economic events across asset classes (IRS, Bonds, FX, IRD, Commodities, Repos, Futures, Forwards), and ensure the accounting solution covers all relevant scenarios
Prepare and present Technical Specification and Functional Specification documents, conducting walkthrough sessions with business users and QA teams
Implement CTT configurations received from the Murex Core Team and conduct retesting across multiple development environments
Perform first-level validation (SIT) on accounting setups and deliver configurations for UAT support users with queries and implement fixes based on UAT observations
Configure, import, and export accounting objects across UAT environments for various testing cycles and deploy final configurations to Production
Provide post go-live support for accounting issues and manage resolution within timelines
Work closely with upstream and downstream teams, including Datamart and Finance, to ensure seamless integration of accounting reports and workflows
Configure and manage OSP Smart Queue design and Liquidation module configurations, including projection population in liquidation views
Drive reconciliation activities (trade-level, account balances, liquidation views) during version upgrades and document findings for business sign-off
Work within an Agile/Scrum framework, participating in sprint planning, daily scrums, sprint reviews, and retrospectives track deliverables in Jira and Confluence
Job ID: 145585349