Job ID: 42247- Location: MEXICO CITY (MEX)**About Murex**:Murex is a global fintech leader in trading, risk management and processing solutions for capital markets.
Operating from our 18 offices, 2400 Murexians from over 60 different nationalities ensure the development, implementation and support of our platform which is used by banks, asset managers, corporations and utilities, across the world.Join Murex and work on the challenges of an industry at the forefront of innovation and thrive in a people-centric environment.You'll be part of one global team where you can learn fast and stay true to yourself.
**Responsibilities**:The Risk Team's main responsibility is to provide enterprise-wide risk solutions to existing and prospective clients.
You will work as part of a small team, exposed to a variety of cutting-edge technologies.
As a Risk Analyst, you will perform the following duties:- Work with our clients, as part of a team, throughout transformation risk projects spanning credit risk (PFE, XVA), market risk (VaR, Stress Testing), liquidity risk and regulatory compliance.- Contribute to or lead the entire project cycle: pre-sales, system presentation, installation, implementation, training, support, upgrades, testing.- Enrich expertise and master technical domains of the Murex platform.
Share expertise through coaching and training of other junior members of the team.- Diagnose technical and functional issues by closely analyzing all symptoms.
Play a key role in resolving such issues and communicating resolution to the clients.- Capitalize on solutions from various projects to enhance future deliveries.- Maintain constant, effective, constructive communication with clients, helping ensure their autonomy.
Train key client users of the system.- Write, distribute, and improve documentation, functional and technical.- Meet deadlines and manage priorities.
Help answer needs of other members of the team that would allow them meet their deadlines and priorities.- Conduct a self-assessment in any given situation.
**Qualifications**:- Bachelor or Master's degree in Mathematics / Physics / Engineering/Computer Science/Finance.- 0-3 years experience working on financial software or within financial services.- Very good knowledge of financial markets and products, including derivatives.- Strong analytical skills required -quantitative analysis ability is required.- Strong background in mathematics applied to Finance.- Technical skills in RDBMS (Sybase, Oracle), Unix / LINUX operating systems required.
Python beneficial.- Fluent written & oral English is necessary.- Ability to prioritize tasks, to ensure deadlines are achieved.- Excellent communication and presentation skills.- Capacity to manage complex client relationships.- Willingness to display flexibility in a fast-paced, ever-changing working environment is essential.- Strong interest in financial markets and technology.