Opportunity Description
- Self-motivated risk management professional with an interest in delivering strategic change solutions to enable effective solutions around traded risk management
- Good understanding of key market risk concepts (eg. traded products, VaR, stress testing, risk/limit management)
- Good understanding of key credit risk concepts (eg. traded products, counterparty risk, credit approval process, limit management, excess management)
- Strong technical knowledge specially in Murex domain
- Good business domain knowledge of banking & trading book
- Good understanding of datamart and simulation module in GMP
- Highly effective communicating with technical stakeholders, proficient communicating with non-technical stakeholders
- Good problem solving, analytical, synthesis, system thinking and solutioning skills
- Ability to identify, monitor and manage project risks, issues and dependencies, and agree appropriate s...
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