Dealing Analyst
NEXT Ventures
Description
Who We Are
NEXT Ventures is where ambition takes shape and momentum becomes movement. As a global platform revolutionising access to performance-based capital, we empower the world’s most driven individuals to rise. Through our flagship brand, FundedNext, we empower dreamers to become doers and turn potential into performance. With 500+ driven minds across five countries, we power a global rhythm—220,000+ daily users from 170+ nations, each chasing greatness in their own way.
Your Role in Our Mission
As a Dealing Analyst at NEXT Ventures, you sit at the intersection of market intelligence and platform protection. Your mandate spans three dimensions simultaneously: reading global markets with the precision of a seasoned dealer, understanding our trading population as a system rather than a collection of individuals, and stress-testing the risk parameters that govern how the platform behaves.
How You’ll Make an Impact
Market Analysis & Forecasting
- Conduct in-depth technical and quantitative analysis of global financial markets—FX, commodities, indices, and instruments across the NEXT product suite
- Develop and publish market forecasts grounded in historical data modelling, statistical trend analysis, and emerging macroeconomic signals
- Monitor real-time and historical price action, identifying recurring patterns, anomalies, and structural market shifts
- Maintain a robust internal knowledge base of market conditions, referenced daily by the Platform team and management
Trader Intelligence & Cohort Analysis
- Analyse trading behaviour across the platform to identify patterns, outliers, and clusters—scalpers, hedgers, algorithmic traders, sub-5-trade passers, statistically correlated accounts, and consistently profitable cohorts
- Map trader lifecycle patterns across the platform to inform risk strategy and platform optimisation
- Generate daily trading reports for the Head of Department, covering trade flows, exposure concentrations, anomalous activity, and behavioural patterns
- Benchmark internal platform data against broader market trends to assess whether trader behaviour aligns with, deviates from, or anticipates market moves
- Maintain cohort profiles over time, updating them as patterns shift or new exploitation strategies emerge
- Feed cohort intelligence cross-functionally to maximise its value across Risk, Product, and Operations
Risk Parameter Calibration
- Lead the periodic evaluation of trading risk frameworks and behavioural constraints, ensuring they remain effective and current
- Conduct quantitative simulations and performance audits on historical data to optimise risk filters—balancing platform security against trader experience
- Collaborate with Product and Investigation teams to implement rule changes with minimal disruption
- Identify platform vulnerabilities and exploit patterns; recommend countermeasures to protect the integrity of the trading environment
- Apply working knowledge of MT4, MT5, cTrader, and Match Traders to deliver cross-platform behavioural insights and recommend configuration improvements
- Detect and flag clients operating multiple simultaneous identities to extract payout
Reporting & Collaboration
- Produce daily dealing reports to support the Head of Department with decisions on risk, exposure management, and market positioning
- Prepare structured monthly insight reports presenting pattern forecasts, market outlook, and recommended strategic adjustments
- Translate technical analysis into clear, actionable business guidance for non-technical stakeholders
- Liaise with Product, Platform, and Technology teams to ensure trading rules and platform settings remain aligned with internal policies and industry standards
What You Bring
Education & Certifications
- Bachelor’s degree or higher in Finance, Economics, Mathematics, Statistics, or a related quantitative discipline
- Professional certifications in financial mark