Murex has been independent and relentlessly focused on its mission for over 35 years. We are led by a management team with a commitment to financial technology innovation that supports and powers capital markets.
Murex offers a unified platform for trading, risk management, and post-trade operations, reducing the need for multiple systems.
This integration enhances data consistency and operational efficiency.
It helps streamline workflows across the front, middle, and back offices.
The system supports a wide range of asset classes and financial instruments.
It can be tailored to fit the unique needs of different financial institutions.
Users can configure workflows, reports, and pricing models to match business requirements.
Murex provides real-time risk analytics and monitoring tools.
This helps institutions manage market, credit, and liquidity risks proactively.
It supports better decision-making through timely and accurate risk insights.
Murex helps financial institutions stay compliant with evolving global regulations.
It includes built-in tools for reporting, transparency, and audit trails.
Regular updates ensure alignment with standards like Basel III, FRTB, and EMIR.
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