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Maven Securities

Quantitative Trading Analyst

CompanyMaven Securities
LocationLondon, England, United Kingdom
Posted At2/4/2026

UK Visa Sponsorship Analytics

Analytics are greyed out due to low classification confidence (49.0%).
Occupation Type
Management consultants and business analysts
Occupation Code Skill LevelHigher Skilled
Sponsorship Salary Threshold
£50,200 (£25.74 per hour)
Occupation rate applies

Above analytics are generated algorithmically based on job titles and may not always be the same as the company's job classification. You can also check detailed occupation eligibility, and salary criteria on our UK Visa Eligible Occupations & Salary Thresholds page.

Disclaimer: Hunt UK Visa Sponsors aggregates job listings from publicly available sources, such as search engines, to assist with your job hunting. We do not claim affiliation with Maven Securities. For the most up-to-date job details, please visit the official website by clicking "Apply Now."

Description
Maven is a market-leading proprietary trading firm allocating internal capital across discretionary, systematic, and market-making strategies. Our collective expertise spans traders, engineers, and technologists, unified by an unwavering dedication to enhance our efficiency as a premier liquidity provider for globally listed derivatives. We leverage groundbreaking execution and pricing technologies to elevate and improve how financial markets operate. Maven continues to scale its operations while preserving the dynamic energy and innovative culture of a start-up, but without the associated risks.

Responsibilities:

  • Develop Advanced Analytics Infrastructure: Engineer scalable Python-based libraries and tools that standardize performance metrics across the group. create automated workflows that convert raw trading data into high-value insights for Portfolio Managers and the Investment Committee.
  • Conduct Quantitative Strategy Research: Perform rigorous statistical analysis on trade and portfolio-level data to decompose PnL drivers. Identify alpha decay, parameter inefficiencies, and execution drag to deliver actionable research that directly improves performance.
  • Improve Returns on Existing Strategies: Analyze performance on a trade and strategy level to identify inefficiencies of optimisation areas. Deliver recommendations backed by data and maintain follow through.
  • Highlight Trading Risks & Opportunities: monitor portfolio exposures, performance trends, and market signals to highlight emerging risks and identify underutilized or mispriced opportunities across various strategies.
  • Support Strategy Development: support the PM onboarding process, and business development initiatives into new product groups and strategies.


  • Candidate Specifications:

    • At least 2–5 years of experience specifically within a Hedge Fund, Proprietary Trading Firm, or Quantitative Asset Manager.
    • Strong proficiency in Python (Pandas, NumPy, SciPy) for data analysis and simulation; SQL knowledge is essential.
    • Deep understanding of the trade lifecycle and buy-side strategies (e.g., Relative Value, Stat Arb, Volatility).
    • Excellent communication and teamwork skills
    • Ability to demonstrate wider interest in financial markets
    • Outstanding numerical skills
    • Proactive interest in improving existing trading strategies and identifying new opportunities
  • Ability to take a high level of responsibility in an expanding, highly successful firm
  • Excellent attention to detail
  • Fast problem-solving skills


  • What We Offer:

    • A great environment whereby technology is key to our success
    • The upside of a start-up without the associated risks
    • Friendly, informal and highly rewarding culture
    • A fast-growing global firm with plenty of opportunities where you will have a significant impact