Must have 5 years of experience in Murex Market Risk is required Good knowledge on VaR, Stress testing Good knowledge and hands... Responsibilities Prime role is to act as a Risk Consultant for upgrade project across IT and the business Work with different IT...
treasury solution. Bank is planning to onboard their non treasury center entities onto Murex 3.1. Luxoft has been chosen as the..., Risk, Integration, Reporting, Test Management, Configuration & Environment management. We are looking for experienced...
migration experience is desirable Experience with Simulation and Risk Matrices Experience with Market risk and credit risk... solution. Bank is embarking upon first ever Murex upgrade (v3.1.38 to v3.1.6x) since implementation. Luxoft has been chosen...
, asset-liability management, capital management and other capital markets activities. Within FSRM, the Market Risk (MR... competency of MR, focused on regulatory capital, market and counterparty credit risk management and broker-dealer capital...
, mid & back-office functions Risk Management: Market Risk, Credit Risk, Operational Risk Post trade (example...Change Management and Transformation Consultant – Capital Markets Find endless opportunities to solve our clients...
, mid & back-office functions Risk Management: Market Risk, Credit Risk, Operational Risk Post trade (example...Change Management and Transformation Consultant – Capital Markets Find endless opportunities to solve our clients...