Senior Murex Treasury Business Analyst; H/F
Job in
Genf, Geneva, Switzerland
Listed on 2026-10-01
Listing for:
WIT PARTNERS SA
Full Time
position Listed on 2026-10-01
Job specializations:
-
Finance & Banking
Risk Manager/Analyst, Banking & Finance, FinTech, Capital Markets
Job Description & How to Apply Below
Location: Genf
We are looking for a Senior Murex Treasury Business Analyst (M/F) for our client based in Geneva
- Lead the end-to-end design and implementation of Treasury capabilities in Murex (MX.3) to build an integrated operating model covering Banking Book risk, funding, liquidity, settlement-aware inventory, collateral optimization, FTP and hedge accounting
- Configure and oversee Treasury risk portfolios and books, manage valuation, P&L, sensitivities and cash flows, and ensure consistency of curves and pricing across entities
- Automate and optimize treasury and liquidity management, including overnight funding, rollovers, booking, lifecycle events and controls, as well as reconciliation between projected and actual cash positions
- Model and implement FTP, including curves, spreads and methodologies, ensure attribution and integration with Finance/P&L, and manage external FTP interfaces
- Deploy a group-wide settlement-aware cash and securities inventory, covering settlement status, availability, encumbrance and usage for funding, collateral and securities finance, including custodian reconciliation
- Define and implement hedge accounting relationships, including designation, valuation and effectiveness testing, align with Finance, and support swaps/XCCY with testing and reconciliation
- Manage the collateral scope across repo/reverse repo, securities lending/borrowing, collateral swaps and derivatives, define eligibility, allocation, haircuts and margin workflows, and ensure consistency with triparty agents and custodians
- Integrate and test external platforms such as BNY Mellon, Euroclear Triparty, Acadia Margin and Markit Wire OTC, covering data flows, messaging, identifiers, lifecycle events, reconciliation, exception management and end-to-end testing
- Senior Murex MX.3 Treasury expert with strong product coverage across Fixed Income, Interest Rate Derivatives, Money Markets and Repo/Securities Finance, combined with an integrated understanding of funding/liquidity, Banking Book risk, inventory, collateral, settlement and accounting
- Proven experience delivering large-scale front-to-back Murex programs, complex migrations, multi-system testing and cross-platform integrations, with the ability to resolve end-to-end issues
- Hands-on expertise in repo/triparty, collateral management, securities inventory/settlement, cash/liquidity management, FTP, hedge accounting and external interfaces
- Ideally: experience within a Tier 1 or global bank, integrations with BNY Mellon, Euroclear, Acadia and Markit Wire, consolidated multi-entity inventory/collateral, legacy system decommissioning and multi-entity, multi-currency and multi-region operations
- Murex MX.3 – Treasury & Banking Book
- External integrations: BNY Mellon, Euroclear, Acadia, Markit Wire
- Cross-functional leadership
- Strong analytical skills
- Ability to solve complex problems
- Effective communication with multiple stakeholders
Contract type:
Permanent consulting contract
Languages:
Fluent English, French is an asset
Remote work: 1 day per week
WIT PARTNERS is a Swiss consulting firm specialized in human capital management within the IT and Finance sectors. We are looking for motivated, passionate and quality-driven professionals.
Position Requirements
10+ Years
work experience
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