Remote
$98k–$162k
middle
2 months ago
full-time
quality 8.2/10
Your Role:
This is an opportunity to join a Fintech firm specializing in many facets of the broker-dealer space. You will help our team by focusing on money movements and ACAT transfers. The team is 100% distributed and remote. The role will be reporting directly to one of the Firm’s Director of Operations.
Things You Get To Do:
- Ensure transactions are correctly recorded in appropriate systems facilitating successful settlement
- Investigation and resolution of failing transactions
- Processing of all eligible securities through the DTCC processing system. Candidate must have a thorough knowledge of the PTS (participant terminal service) system and all related functionality. This includes the following:
- Settle securities transactions by processing deliver orders (DOs) on DTCC RAD
- Collect marks-to-market on open contracts and money differences by processing Securities Payment Orders (SPOs)
- Pledge securities to pledgees for collateral through the collateral loan system
- Protect customer fully-paid-for positions and manage firm positions through the use of segregation and memo segregation procedures
- Process ACAT free deliveries and fail reversals (FRVs)
- Investigate & resolve cash and stock reconciliation issues
- Address settlement discrepancies and engage the Director of Brokerage Operations for prompt resolution
- Adhere to all rules, regulations, and procedures that govern this role and organization
- Be aware of Operational Risk and escalate the Director of Operations
- Review Buy-ins and Knowledge of REG SHO/15c3
- Produce timely, quality, and relevant reporting. Regularly communicate amendments to policies and procedures
- Verify and reconcile securities held at various depositories and transfer agents
- Process and confirm fails within Obligation Warehouse (OW) for settlements reconciliation with brokers
- Create reports on money discrepancies between our internal ledger and external platforms
- Ensures reconciliations are accurate and complete and that discrepancies have been resolved in a timely manner
- Works with other internal teams, fostering an environment that encourages participation, teamwork and communications.
- Ensures industry rules, regulations and securities laws are adhered to for 15c3-3 and proper action is taken to ensure proper possession and control of customer securities
- Maintains orderly and readily obtainable records for research and examination purposes
- Prepares summary documentation/work papers for special projects/observations, submitting to management for review
- Performs data collection and analysis to ensure the firm is in compliance with regulatory requirements
- Tests controls and measures to identify excessive operational risk and/or control problems at an early stage and works with staff to maintain quality and efficiency standards
- Works cross-functionally with other staff to create highly efficient operational processes that avoid control and quality deficiencies and associated monetary losses.
- Escalates observations/issues to Management that require attention in order to mitigate risk
- Assists the Director in completing all Internal Audit and Regulatory reviews for the operating group and to ensure that review findings are effectively resolved.
- Driving continuous operational improvement, updating of the control framework and undertaking root cause analysis and trend analysis of operational issues
- Support the business unit management with the application of policy frameworks and become established as a referral point for policy related queries.
- Assist on automation of daily self-clearing processes collaborating with engineering
- Participates on projects as needed
- Performs other duties and responsibilities as assigned
- Core hours are 9am - 4pm Eastern Time, to follow market hours.
Who You Are (Must-Haves):
- 2+ years of Operations and DTCC Settlement experience
- Knowledge of Brokerage Clearing operations
- Knowledge of Financial industry rules, regulations and laws
- Possess general knowledge of U.S. securities back office operations of a broker-dealer and/or carrying firm
- Ability to Identify relationships, draw logical conclusions and interpret results for use in decision making
- Excellent written and verbal communication skills
- Ability to work independently with attention to detail as well as collaboratively within a team environment
- Providing insights for continuously improving our client experience and providing efficiency
- Ability to work independently in a fast-paced environment with multiple priorities
- Must be able to follow company tenets of:
- Stay Curious
- Have Empathy
- Be Accountable
- Be able to work in a remote environment
- Have basic knowledge of SQL, metabase, or other database coding language
- Easily adapt between Microsoft and Google document and spreadsheet solutions
- Be flexible to assist other functional areas when necessary
- Support department initiatives and company vision
- Must be able to change and adapt to the ever-changing regulatory landscape of the financial industry
- Possess a Series SIE and 99 or higher securities license or achieve a passing result on the 99 within the first 180 days of employment.
How We Take Care of You:
- Competitive Salary & Stock Options
- Health Benefits
- New Hire Home-Office Setup: One-time USD $500
- Monthly Stipend: USD $150 per month via a Brex Card
Alpaca is proud to be an equal opportunity workplace dedicated to pursuing and hiring a diverse workforce.
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