Job description
Project Description:
You would be part of the India Trading and Risk management solutions practice at Luxoft.
You would be trained on the Capital markets domain and Murex Trading and Risk Management platform and a specific module therein.
After completing the training, you would be deployed in a client engagement to support client delivery.
Responsibilities:
You will be a Risk Analyst responsible for supporting Market Risk related work requests.
The role requires an understanding of financial markets across various asset classes (IRD, Fixed Income, Commodities, FX) and mianly in Risk areas like VaR.
You will work closely with the existing Luxoft delivery teams and interact with both business and client technology functions.
Contributing to Requirement Analysis in Risk space for various projectsContributing to understanding the business needs, identifying business solutions, and validating the pros and cons of technical solution optionsInteract with Risk users and interface between Business and IT with respect to MurexConfigure the application as part of the implementationFollow up with Murex as and when necessary to resolve bugs and issues.
There is a possibility to work also in the Front Office stream
Mandatory Skills Description:
3+ years of experience in banking or capital markets with a strong focus on Market RiskStrong understanding of financial markets across multiple asset classes such as Treasury, Commodities, FX (Cash and Derivatives), and Interest Rate DerivativesGood exposure to risk and pricing concepts across at least two asset classesSolid understanding of Market Risk fundamentals, including CVA and collateral managementCFA or FRM certification is mandatoryPrior experience with Murex is not required; ability to quickly learn and adapt to new platforms is essentialStrong analytical and problem-solving skillsGood communication skills and ability to work with stakeholders
Nice-to-Have Skills Description:
Exposure to Murex or similar risk management systemsUnderstanding of trade lifecycle across asset classes
Experience working with global stakeholders or distributed teamsFamiliarity with regulatory or risk reporting frameworks