Lead Murex Market Risk System Analyst

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Singapore, Singapore

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Relocation friendly

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Murex ERM

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BCM Industry

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09/07/2026

Req. VR-123942

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Project description

Our customer is a Leading bank headquartered in Singapore implementing a front to back integrated platform for straight through processing and risk management.
This is a multi-year initiative where different projects run in concurrence across streams including: new product initiatives, new entity roll-outs and regulatory compliances.
The project you will be working on is a multi-year initiative looking to implement market-risk FRTB IMA for the customer.
This project is a great opportunity for the successful candidate to gain or extend in-depth knowledge on FRTB IMA.

Responsibilities
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Business & Functional Analysis

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Gather, analyse, and document business requirements related to Market Risk and Credit Risk systems.

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Conduct impact assessments and feasibility studies for new initiatives and system enhancements.

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Translate business requirements into detailed functional specifications.

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Support solution design discussions with business and technical stakeholders.

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Market Risk Analysis

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Analyse and support Market Risk processes including:

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Value at Risk (VaR)

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Stress Testing

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Sensitivity Analysis

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Risk Exposure Reporting

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Validate risk calculations and reporting outputs.

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Credit Risk Analysis

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Support Credit Risk solutions including:

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Counterparty Credit Risk

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Exposure Management

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Limit Monitoring

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Credit Risk Reporting

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Analyse and validate risk data and business rules.

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Murex Risk Platform Support

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Work with Murex Risk modules covering:

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Market Risk

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Credit Risk

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Support system enhancements, configuration changes, and issue resolution.

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Coordinate with development teams during implementation and testing phases.

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Data Analysis & Reporting

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Perform data validation, reconciliation, and root cause analysis.

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Develop and execute SQL queries for data analysis and reporting validation.

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Support regulatory and management reporting requirements.

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Testing & Release Support

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Prepare test scenarios and test cases.

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Support SIT, UAT, and regression testing activities.

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Validate implemented solutions against business requirements.

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Stakeholder Management

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Collaborate with Risk, Treasury, Front Office, Operations, and Technology teams.

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Provide functional clarifications and status updates.

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Support issue resolution and change management processes.

Skills

Must have

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More than 9 years of experience in Risk Systems Analysis

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Strong hands-on experience with:

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Murex Market Risk

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Murex Credit Risk

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Strong knowledge of:

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VaR (Value at Risk)

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EWRS

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MLC

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Credit Risk Management

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Strong business knowledge of risk management processes and financial products

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Experience in requirements gathering, impact analysis, and functional documentation

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Strong SQL and data analysis skills

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Experience supporting SIT, UAT, and production releases

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Excellent stakeholder management and communication skills

Nice to have

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NA

Other
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Languages

English: C2 Proficient

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Seniority

Regular

Singapore, Singapore

Req. VR-123942

Murex ERM

BCM Industry

09/07/2026

Req. VR-123942

Apply for Lead Murex Market Risk System Analyst in Singapore

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