- Overall 8-10 years of working experience with at least 5 years ofProject Management experience ideally in the implementation of Treasury/Capital Markets software (preferred) or other banking software
- Experience in leading risk projects, managing small team and stakeholders e.g. PM, clients
- Understand the Murex system setup at the client, organisation of the support teams, end of day procedures and the report delivery process
- Functional understanding of Market Risk domain
- Understanding of Mx.3 and MLC architecture
- Understanding of main MLC functionalities
- Leading complex projects with formal management techniques (work plans, status reporting, issue and risk management, financial tracking, earned value, etc.)
- Knowledge of Financial Markets preferred
- Ability to perform under pressure and believe he/ she can influence the outcome and see it as an opportunity.
- Driving the implementation full ‘life cycle’ of Murex Front to Back Capital Markets software using waterfall and/or agile project delivery methodologies
- Enforcing project governance, capacity planning, and risk management
- Managing the expectations of users/stakeholders
- Perform crisis management when required