Maven Securities
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As a C++ Developer at Maven, you will develop low latency execution systems for market-making strategies, collaborating closely with traders and other developers. Your responsibilities include enhancing system connectivity, optimizing order execution algorithms, and improving trading strategies, with immediate visibility of your contributions to the firm's success.
The C# Developer will be responsible for full lifecycle software development for market making, collaborating with traders and developers to optimize pricing libraries, improve trading tools, extend systematic trading strategies, and build web-based user interfaces. The role includes participating in design processes, testing systems, and liaising with teams across offices.
The Maven Minds Spring Week Programme provides students a chance to explore a career in Technology at Maven Securities. Participants will gain insights into necessary skills, network with employees, and experience the company's culture. It's geared towards female and Black heritage students but is open to all interested first or second-year students in relevant courses.
The Maven Minds Spring Week Programme offers students an overview of a Trading career at Maven Securities, networking opportunities with employees, and insights into the skills necessary for the industry. It focuses on promoting diversity by encouraging female and Black heritage students to apply, while being open to all students interested in Trading.
The Portfolio Manager will research and implement strategies, understanding market dynamics to optimize performance. They must have strong coding and research skills to capture market inefficiencies and display a successful track record of strategies.
The Risk Analyst will be responsible for monitoring trading activities, managing risk across options and fixed-income instruments, and updating daily risk processes. They will collaborate with the Risk team to develop risk management systems and communicate with traders globally.
The C++ Developer will contribute to expanding the firm's analytical capabilities and enhancing trading systems. The role involves working closely with traders and developers, focusing on ultra low latency design, performance tuning, and solving complex problems related to trading and finance.
The role involves designing and developing solutions to support core business functions while ensuring high quality, maintainability, and performance. The developer will collaborate closely with stakeholders and work within a multi-disciplinary team to enhance trading activities through software solutions.
Looking for a US Equity Volatility Portfolio Manager to design, backtest, and deploy market-leading systematic trading strategies across the US listed options space. Must have experience in trading and risk management of US equity/index options and a track record of profitable systematic trading strategies.
Register interest in various roles at Maven, stay updated through website and social media, applications opening soon.
Seeking an outstanding Portfolio Manager to construct and manage a fundamentally driven, market-neutral portfolio of equities in Hong Kong. Responsibilities include original idea generation, deep fundamental understanding of companies, risk management, and decision-making. Must have 2+ years as a Portfolio Manager or 5+ years as an Investment Analyst.
The Senior Quant Researcher will collaborate with researchers to design new trading strategies and signals, participate in risk management and trading operations, and gain exposure to the full investment pipeline. Requires advanced mathematical and programming skills, particularly in Python, along with significant experience in alpha research and trading operations.
Seeking a Portfolio Manager with a deep understanding of APAC Equities to develop and implement new strategies. Must have experience in Asian Equity markets and a beta neutral framework for generating alpha returns. Personal qualities include attention to detail and ability to thrive in high-pressure environments.
Research, develop, and implement systematic strategies in listed instruments such as futures or FX. Monitor and manage portfolio risk. Collaborate with Quant PMs. Must have deep understanding of systematic inefficiencies, strong coding and researching skills, and experience with large time series data.
The Portfolio Manager will oversee and develop investment strategies, requiring extensive research and implementation skills. They should demonstrate a strong understanding of market dynamics and track the performance of their strategies.
The Associate Portfolio Manager will research, develop, implement, and manage investment strategies while collaborating closely with existing Portfolio Managers. They will handle the lifecycle of investment ideas and ensure compliance with policies and regulations.