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Junior Quant Analyst (C++ & Python) – Risk Systems | London | UK Work Eligibility Required

Junior Quant Analyst (C++ & Python) – Risk Systems | London | UK Work Eligibility Required

Chenavari Investment ManagersLondon, England, United Kingdom
5 days ago
Job type
  • Full-time
Job description

Junior Quant Analyst (C++ & Python) – Risk Systems | London | UK Work Eligibility Required

Junior Quant Analyst (C++ & Python) – Risk Systems | London | UK Work Eligibility Required

Chenavari Investment Managers is looking for a talented Junior Quant Developer to join its Risk Management team. You will be part of a high-performance, collaborative environment, helping to build and maintain mission-critical infrastructure for risk analysis and investment decision-making. This is an excellent opportunity for someone early in their career to contribute meaningfully while developing both technical and financial expertise.

Founded in 2008, Chenavari Investment Managers is a staff-owned asset management firm with $5bn+ AUM, specializing in European credit across corporate and financial bonds, structured credit products, and private debt origination. Our entrepreneurial team takes a value-based approach, investing across three primary business lines : tradable credit, private credit, and leveraged finance.

As a Junior Quant Developer, you will contribute to the ongoing development and support of the proprietary Risk Management platform and quantitative library. You will :

  • Build Python-based and Excel-based risk tools and integrations used by traders, analysts, and risk managers
  • Develop, test and support C++ quant code on proprietary Risk Management system
  • Improve accuracy of quantitative models for trading
  • Maintain a constant smooth day-to-day process with fast bug-fixing
  • Document quantitative models and system components effectively

We’re looking for a smart, curious, and technically capable individual with :

  • 1–2 years of experience in a quantitative or software development role, preferably in financial markets
  • Proficiency in C++ and Python , with a focus on production-level code
  • Understanding of data structures , numerical methods , and statistics
  • Familiarity with Linux , Git , and scripting (Bash or similar)
  • Experience and knowledge of the fixed income or credit financial instruments at a bank or alternative asset manager is a plus
  • Excellent problem-solving skills, attention to detail, and communication ability
  • Eager to learn, with a proactive and self-motivated attitude
  • Legal right to work in the United Kingdom
  • Soft Skills

  • Strong attention to detail, proactive, highly organized and process-driven
  • Excellent verbal, written communication and relationship building skills
  • Available to providing on-call, early morning and remote support
  • Educational requirement

  • First class or Upper Second class honors degree in a heavily maths-oriented subject from a highly recognised University
  • What You’ll Gain

  • First-hand exposure to live financial systems and investment processes
  • Opportunity to work directly with experienced traders, risk managers, and quants
  • Fast feedback cycles — see your code deployed and used across the firm
  • Supportive environment that values technical excellence, ownership, and collaborative attitude
  • Strong career development in both engineering and finance
  • Seniority level

    Seniority level

    Entry level

    Employment type

    Employment type

    Full-time

    Job function

    Job function

    Research, Analyst, and Information Technology

    Industries

    Investment Management

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    Risk Analyst • London, England, United Kingdom