Description Primary Objective: Develop/configure e-tradepad based on the business logic provided by traders to facilitate booking of trades. Perform Front Office configuration such as Market Conventions (Basis convention, rate convention, schedule generators, date shifters), Interest rate indices & swap generators Configure tool/filters in Murex that will facilitate P&L & risk analysis and relevant MIS Develop test plan/strategy, coordinate, monitor and priorities the resolution of issue log. Establish migration approach, number of testing cycles, reviewing results and resolving issues raised by the various user groups Front office support for modules already live in Murex. Finance support for modules which are already in Murex. Key Responsibilities: Front Office Configuration & trade booking solutions Provide e-tradepad/templates to Sales/Traders that will facilitate the capturing of trades. Provide appropriate filters/views via simulation screen/reports that will facilitate P&L, risk and other MIS reporting. Providing business solution aligned with Group Treasury & Global Market business strategy and in compliance with RHB Group, BU and Industry requirements. Coordinating UAT Develop and manage an effective user acceptance testing approach to ensure functional integrity of all business rules and processing flows. Effective follow up of issues with users and vendors and ensure resolution in accordance with priority. A complete and effective migration strategy and plan. Coordinating and managing users on issues and ensuring quick resolution by vendors. Quality Control Assist the Project Manager in the definition of appropriate quality control policies & practices. Comply with project defined standards for quality control. Business impact assessment is undertaken to ensure that all activities for implementation is secure. Requirements Requirements: Bachelor Degree - Any related field(s). Minimum of 3 years of exposure and experience in treasury dealings and treasury related operations at an established regional financial services institution Good understanding of treasury product and services as well as the modus operandi governing the end to end treasury operations and its relationship with all other banking application Understand the strategic objective of Group Treasury via-a-vis its roles in the province of forex, derivatives, fixed income, money market, in supporting the business of the Banking Group Strong planning, organizing, analytical and interpersonal relationship skills Good verbal and written communication skills Benefits Dental, Education support, Miscellaneous allowance, Medical, Loans, Sports (e.g. Gym), Parking, Vision, Regular hours, Mondays - Fridays, Casual Business Wear, Performance Based Rewards
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