Overview
On Site
DOE
Contract - W2
Skills
Reporting
Issue Resolution
Collaboration
Marketing Operations
Back Office
Management
Murex
Market Analysis
Asset Management
Business Objects
Risk Management
Banking
Systems Architecture
Pricing
Profit And Loss
Analytical Skill
Conflict Resolution
Problem Solving
FRM
Finance
Control Flow Analysis
Alternative Investments
Job Details
Job Summary We are seeking a Murex FO Support Consultant with strong experience in Murex systems and financial markets. The ideal candidate will provide first-level support to Murex users across Front, Middle, and Back Office functions, ensuring accurate configuration, reporting, and issue resolution. This role requires a deep understanding of financial products, Murex simulation tools, and cross-functional collaboration. Key Responsibilities Provide first-level support to Murex users across FO, MO, Risk, and Back Office teams. Configure simulation views and reports (dynamic tables, notepads, trade queries). Assist users with position, PnL, and sensitivity reports and explanations. Gather and understand user needs to improve tool usage and promote best practices. Manage Murex settings related to product definitions and configurations. Analyze and resolve incidents across business areas. Coordinate registration and updates of static and market data with relevant teams. Required Qualifications 3+ years of experience in Murex projects or support roles. Strong knowledge of Murex components: static data, market data, GOM configurations, simulations, and event insertion. Deep understanding of financial markets, investment fundamentals, and asset management. Experience working with multidisciplinary teams (Admin, IT, FO, BO, Risk, Management Control). Familiarity with banking systems architecture and integration points. Strong analytical skills for evaluating product configurations and pricing models. Ability to calculate and interpret PnL figures and sensitivities (e.g., delta, vega). Preferred Qualifications Financial certifications such as FRM, CFA, CAIA, or EFA. Experience in high-pressure environments with strong results orientation. High level of proactivity and anticipation. Strong analytical capacity and problem-solving skills. Certifications Financial Risk Manager (FRM), Chartered Financial Analyst (CFA), or equivalent certifications are highly valued. Education: Bachelors Degree Certification: Financial Risk Manager (FRM) , Chartered Financial Analyst (CFA) , Chartered Alternative Investment Analyst
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