StoneX Group Inc.
Lead - Murex Developer/Business Analyst

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Overview
Connecting clients to markets – and talent to opportunity.
With 5,400+ employees and over 80,000 institutional, commercial, and payments clients, we operate from more than 80 offices spread across six continents. As a Fortune 100, Nasdaq-listed provider, we connect clients to the global markets – focusing on innovation, human connection, and providing world-class products and services to all types of investors.
Whether you want to forge a career connecting our retail clients to potential trading opportunities, or ingrain yourself in the world of institutional investing, StoneX Group is made up of four business segments that offer endless potential for:
Business Segment Overview
With boots on the ground authenticity at the heart of everything we do, our comprehensive array of commercial products and services enable you to work directly with our clients, across hedging, risk management, execution and clearing, OTC products, commodity finance and more.
Responsibilities
Position Purpose
The Murex Functional Developer Lead is responsible for the FO, Risk and Accounting Murex development team. The Lead should have a good functional understanding of FO and Risk and be capable of mentoring team members and managing the team’s completion of tasks in a timely manner.
Reasons to use Rodeo
I’m in my final year doing Economics and I don’t know whether to apply for grad schemes now or do a masters first. What do you think?
Honest answer — it depends on where you want to end up. A lot of top grad schemes (Big 4, civil service, banking) don’t need a masters. Let’s look at the ones you’d be competitive for now, and we can decide if a masters actually adds anything.
Also worth knowing: most autumn 2026 applications are open now. Timing matters more than you think.
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Grad scheme, placement, apprenticeship? Not sure what you want yet — that's fine. Your agent talks it through with you and turns "I have no idea" into a shortlist.
Graduate Consultant — 2026 Scheme
Why you're a good match
StrongYour economics background and your summer at a regional bank line up with what PwC looks for on the consulting scheme. Applications close in four weeks.
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Every day your agent scans the market matching roles against what actually matters to you, not just keywords on a CV.
Why you're a good match
You’ve got the grades and the economics background, and your bank internship is exactly the experience this scheme looks for. Apply soon — deadlines close within the month.
Experience fit
Your summer at the bank plus your econometrics coursework map directly to the day-one responsibilities on this scheme — client modelling, market briefings, and deal support.
Only hits
No noise. No "maybe this fits." Just roles with a clear explanation of why they're right — and where to focus when applying.
Primary Duties
- Configure New Financial Products (Commodities Linear/Derivatives, FX Cash/Derivatives, IR Linear/Derivatives, Equity Prime Swaps). Must have knowledge of the financial industry and the specifics of the configuration within Murex from a FO and Risk point of view
- Build simulation views for viewing PL and Risk.
- Set-up of Market data, spot indices, swap prices, commodity price curves, swap generators, volatility curves.
- Build, enhance and troubleshoot pre/post-trade formulas.
- Troubleshooting and configuration of VAR and Stress reports
- Provide first/second-level support to cross-functional BAU issues raised by business users including but not limited to P&L, Risk, Pre/Post-trade processing, Datamart reporting.
- Effectively work with Internal BA to:
- Analyze and Gather requirements from FO, Risk and Operations teams
- Translate needs into technical requirements in Murex
- Communicate solutions / issues


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Qualifications
To land this role you will need:
- 6-7+ years Murex FO/Risk expertise
- Financial and technical expertise in the following asset classes and their event lifecycle: Commodities (futures, forwards, swaps, accumulators), FX (cash, options), IR (swaps, listed futures/options)
- Proficiency in configuring the following modules: simulation, pricing templates, pre/post-trade MSL, asset-specific static data/market data (instruments, indices, curves, historical data)
- Basic understanding of datamart (dynamic tables, datamart, feeders, extractions)
- Intermediate level knowledge of SQL
- Strong Logical and Analytical skills
- Detail Oriented and self-starter
- Team-player
- Good communication skills
What will make you stand out
- Experience with Equities
- Basic knowledge in accounting module troubleshooting and configuration
- Preferably a degree in finance
Working Environment
Hybrid (4 days in office per week)
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