Benefit from many years of expertise, in both run the bank processes as well as change the bank projects
- Adapt Murex to your needs
- Adapt your Murex installation to your individual needs, we help you to implement your processes and model your financial mathematical requirements.
- Technical Consulting
- Benefit from our experience and technical expertise. We support you in your decision making but also in Murex software implementation projects and cooperation with all functional units (FO, operations, Risk..) for MX3.1.
- IT Management
- Put the challenges of your Murex installation in responsible hands. We manage operation, maintenance, transformation and adaptation of your instances and give you the freedom to focus on your core business.
Murex is a widely used capital markets positioning system and ideal platform for the evaluation and classification of financial products throughout Front-, Middle- and Backoffice. All Murex installations are custom fit for a client so all partners and clients of mindkeeper are confronted with two major challenges.
Stable Murex environment
The often more long-term challenge, is that already defined structures have to be altered to meet constantly changing and growing fiscal, structural and administrative regulation. All our clients rely on our ability to deliver custom-fit solutions in time and budget.
We evaluate the current setup and offer various scenarios of possible solutions. We routinely conduct studies to implement the best possible solution within the client infrastructure.
Specializations in Murex's areas of application
Our reliable project management processes are complemented by special skills that are essential for the successful operation of core banking business.
Modelling and Testing CVA simulations
Modelling and Testing Credit Valuation Adjustment (CVA) simulations for multiple asset classes (Equities, Derivatives, FX..) by default and loss simulation models with a given default, forecasting and hedging of derivative credit risk, developing and testing prototypes according to regulatory banking standards (Basel III e.g.).
Cooperating with Front Office, Operations, Collateral Management, Credit & Market Risk, controlling and reporting to stakeholders, enterprise ressource planning within project scope, continious milestone tracking and validation, risk assessment including based on progress and delay within tracking process, preemptive measures to deliver in time and budget, as well as active risk management.
Experienced in Murex Implementation, Migration & Upgrade projects
This includes, but is not limited to, experiences with MxG2000, MX.3.1, Asset Classes (IRD, FX, FXD, MM), Front Office, Middle Office, Simulation Modules (P&L, P&L Var, Accrual P&L), Market Risk (Sensi, VaR), Credit u. Liquid Risk, Trade Management (Processing), Accounting Modules (MLC),Reporting (Datamart) and Payment Modules.