Are you passionate about financial markets and technology? Do you thrive in environments where precision and innovation meet? Were looking for a Market Risk Analyst to join a dynamic team that drives excellence across Markets, Banking, and Treasury.
Key Responsibilities :
Analyze existing processes and identify improvements with stakeholders
Gather and document requirements from traders and business teams
Conduct impact analysis and propose practical solutions
Configure and develop Murex platform functionalities
Support analytical queries (Risk, PnL, Pricing) and technical aspects (Workflows, Integrations, Reporting)
Provide training and collaborate on resolving critical incidents
Build strong stakeholder relationships and manage expectations effectively
Stay current with industry developments and contribute to team success
Job Experience and Skills Required :
A Bachelors degree in Computer Science, Mathematics, Engineering, or related field.
Strong knowledge of Capital Markets products, trade lifecycle, and asset classes (Derivatives, Interest Rate, Money Market, Fixed Income).
Experience with Agile Scrum methodologies.
Expertise in Murex modules (Front Office Configuration, Risk, P&L Analysis, Pricing Templates).
At least 3 years of experience implementing and supporting financial market systems.
Familiarity with MX TEST and related tools.
(ACI Dealing Certificate is a plus.)
Apply now!
Risk Analyst Market • Johannesburg, South Africa