Murex L2 FO Support
Luxoft
Hyderabad, IN, IN
5d ago

Project Description

The role is for L2 Murex FO support responsible to provide BAU support.

Responsibilities

Murex related Responsibility :

1) Handling Murex production batch processing includes Date rolls for Various desks and entities, accounting and reporting batches.

2) Configuring the Datamart Batches and debugging the issues with it.

3) Configuring the processing script for various modules and debigging the issues related to it.

4) Performing / Monitoring daily / montly housekeep jobs related to Accounting, Market Data etc.

5) Providing support for OVernight Batch processing.

6) Developing / Configuring the processing script / report / batch of feeders if required as part of Batch Support.

7) Setup new environments, refresh environments and take regular backups. Ability to manage multiple environments

8)Configuration management & Release management

O / S related Resposibilty :

1) Understanding and debugging various shell scripts / perl scripts on production / QA / development servers.

2) providing support for various issues on production servers like memory issue or slowness, file system related issue.

3) Designing and developing the shell scripts if required.

4) Handling the file processing, process control and monitoring etc for Murex.

5) Handling the Murex environment related issue associate with O / S.

D / B related resposibilty :

1) providing support for various Database activities like DB back up . Database refresh (includes (Oracle Import / Export ) (Sybase (dump / Load)).

2) providing support for Database maintainace , indexing , housekeeping etc.

3) Debugging the databse performance issue for various batches / jobs.

4) providing support for debugging Stored procedure and various murex issues related to database.

5) Developing stored procedure, views etc if required .

Must have

4 Years Plus relevant Murex Experience in FO Module

End to End Knowledge on IRD / Fixed Income / FX / Equity Module Either of two asset class or at least 1

Simulation Views, P&L Explain, PL Variance

Configuring Generators for various Asset classes, Schedule definitions, basic and compounding Index

Understanding of Bond, IRD, EQD, FX Pricing. Either of two asset class or at least 1

Various Trade Events w.r.t Asset class. Like Restructure, C&R, Netting, Exercise

Resolving Warehouse issues related to P&L.

Understanding of E-tradepad.

Understanding of GOM, Chinese Wall Template, Typology Rights

Debugging EOD Batch Issues.

Basic Unix & Database Knowledge.

Nice to have

Pricing & Calculation Templates

Rate Curve Assignments

Collateral Exposure, MxML, Pre-trade, Exotic / flex products

Selldown Process

Debugging Limit Overflow Issues, reading tick file, risk config formulas, Limit Monitoring

Languages

English : C2 Proficient

Regular

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