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Murex SME

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Orbis Consultants

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Location:
United Kingdom , London

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Category:

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Contract Type:
Not provided

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Salary:

Not provided

Job Description:

We are seeking an experienced Murex Investment Analyst to support and enhance a complex Murex environment within a regulated financial services setting. This role focuses on incident resolution, complex issue analysis, and platform improvement, working closely with investment, risk, and technology teams to ensure accurate trade economics and alignment with upstream investment platforms such as Aladdin.

Job Responsibility:

  • Murex platform support
  • Provide front- and middle-office support for Murex, including trade booking for bilateral debt investments and corrections across derivatives and fixed income products
  • Perform reconciliations between Aladdin and Murex, ensuring valuation accuracy and consistency
  • Stakeholder collaboration
  • Develop strong working relationships with internal teams and external vendors to maximise platform capability, adoption, and ongoing improvement
  • Risk & control awareness
  • Identify, assess, and escalate risks, dependencies, and compliance considerations associated with platform usage
  • Solution delivery
  • Partner with users to design and implement practical solutions that deliver measurable business value
  • Change & enhancement activity
  • Act as the Murex subject-matter expert within change forums and delivery initiatives, supporting platform enhancements and upgrades
  • Continuous improvement
  • Contribute to improvements in platform usage, support processes, documentation, and knowledge sharing
  • Reporting & insights
  • Produce clear updates, metrics, and insights for stakeholders and governance forums

Requirements:

  • Experience working within a regulated financial services environment (PRA or FCA), such as banking, asset management, insurance, or hedge funds
  • Proven experience supporting Murex front- and middle-office processes
  • Strong understanding of the end-to-end trading lifecycle, investment strategies, and risk management principles
  • Demonstrated experience working with both internal teams and third-party vendors
  • Broad exposure to multiple asset classes, including: Interest Rate Derivatives, Fixed Income and Money Markets, FX, TRS, Bond Futures, Treasury products and bespoke debt investments
  • Strong understanding of investment platforms and operational workflows
  • Comfortable working with data analysis, simulations, and Excel-based modelling
  • Strong communicator with the ability to build trusted relationships across teams
  • Highly analytical with strong problem-solving skills
  • Organised, proactive, and able to manage competing priorities
  • Comfortable balancing strategic thinking with hands-on execution
  • Able to work independently and collaboratively across multiple initiatives

Nice to have:

Experience with Aladdin is desirable but not essential

Additional Information:

Job Posted:
February 14, 2026

Employment Type:
Fulltime
Work Type:
On-site work
Job Link Share:

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