远程工作雷达

全球结算专员1

Global Settlements Associate 1

其他亚太区可投
公司alpaca
薪资未公开
工作地点Remote - APAC
地域资格亚太区可投
时区要求无特别要求
用工类型未标注
发布时间今天
数据来源Greenhouse
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我们是谁:

Alpaca 是一家总部位于美国的全球领先代理优先经纪基础设施公司,提供股票、ETF、期权、加密货币、固定收益、24/5 小时交易等服务。

在我们的子公司中,Alpaca 是一家持牌金融服务公司,通过我们机构级 API 为全球 40 个国家的数百家金融机构提供服务。这包括经纪自营商、投资顾问、财富管理公司、对冲基金和加密货币交易所,总计超过 1000 万笔经纪账户。

我们的全球团队由经验丰富的工程师、交易员和经纪专业人士组成,致力于实现我们让全球每个人都能享受金融服务的使命。我们致力于开源贡献并培育活跃的社区,持续提升我们获奖的、开发者友好的 API 及其背后的强大基础设施。

Alpaca 获得了来自顶级全球投资者的 4 亿美元融资,包括 Portage Ventures、Spark Capital、Tribe Capital、Social Leverage、Horizons Ventures、Opera Tech Ventures、SBI Group、Derayah Financial、Unbound、Peak XV、Elefund 和 Y Combinator。

我们的团队成员:

我们是一个由 400 多名分布在世界各地的成员组成的充满活力的团队,大家喜欢在世界各个最喜欢的地方工作,团队成员遍布美国、加拿大、日本、匈牙利、尼日利亚、巴西、英国等地!

我们正在寻找渴望为 Alpaca 的快速发展做出贡献的热情人士。如果你认同我们的核心价值观——保持好奇、富有同理心、承担责任,并准备好产生重大影响,我们鼓励你申请。

你的职责:

全球股权结算

  • 负责端到端的全球股权结算流程,与我们的托管人、交易对手和内部利益相关者合作,确保在多个国际市场中及时准确地完成结算。
  • 确保交易在内部和外部系统中准确记录,以促进成功的结算。
  • 监控每日结算活动,主动识别可能失败的交易。
  • 调查并解决结算异常、交易差异和失败交易。
  • 审查买入交易、结算罚金和逾期未结算交易,并与交易对手和我们的托管人协调补救措施。
  • 监控通过 SWIFT 和结算平台的交易匹配,确保交易对手在规定的市场截止时间前确认并匹配交易。

交易异常管理

查看英文原文

Who We Are:

Alpaca is a US-headquartered, global leader in agent-first brokerage infrastructure for stocks, ETFs, options, crypto, fixed income, 24/5 trading, and more.

Amongst our subsidiaries, Alpaca is a licensed financial services company, serving hundreds of financial institutions across 40 countries with our institutional-grade APIs. This includes broker-dealers, investment advisors, wealth managers, hedge funds, and crypto exchanges, totalling over 10 million brokerage accounts.

Our global team is a diverse group of experienced engineers, traders, and brokerage professionals who are working to achieve our mission of opening financial services to everyone on the planet. We're deeply committed to open-source contributions and fostering a vibrant community, continuously enhancing our award-winning, developer-friendly API and the robust infrastructure behind it.

Alpaca is proudly backed by $400 million in funding from top-tier global investors including Portage Ventures, Spark Capital, Tribe Capital, Social Leverage, Horizons Ventures, Opera Tech Ventures, SBI Group, Derayah Financial, Unbound, Peak XV, Elefund, and Y Combinator.

Our Team Members:

We're a dynamic team of 400+ globally distributed members who thrive working from our favorite places around the world, with teammates spanning the USA, Canada, Japan, Hungary, Nigeria, Brazil, the UK, and beyond!

We're searching for passionate individuals eager to contribute to Alpaca's rapid growth. If you align with our core values—Stay Curious, Have Empathy, and Be Accountable—and are ready to make a significant impact, we encourage you to apply.

Your Role:

Global Equity Settlement

  • Own the end-to-end global equity settlement process, partnering with our custodian, counterparties, and internal stakeholders to ensure timely and accurate settlement across multiple international markets.
  • Ensure transactions are accurately recorded across internal and external systems to facilitate successful settlement.
  • Monitor daily settlement activity and proactively identify transactions at risk of failing.
  • Investigate and resolve settlement exceptions, trade discrepancies, and failing transactions.
  • Review buy-ins, settlement penalties, and aged fails while coordinating remediation efforts with counterparties and our custodian.
  • Monitor trade matching through SWIFT and settlement platforms, ensuring counterparties affirm and match trades within required market deadlines.

Trade Exception Management

  • Investigate and resolve trade mismatches, including:
  • Settlement instruction discrepancies
  • Quantity and price differences
  • Allocation issues
  • Counterparty booking errors
  • FX and market-specific settlement exceptions
  • Partner closely with trading, finance, compliance, counterparties, and custodians to drive timely resolution of settlement issues.
  • Escalate complex settlement discrepancies and operational risks to the Director of Brokerage Operations when appropriate.

Cash & Position Reconciliations

  • Perform daily reconciliations of securities positions and cash balances across multiple global markets and currencies.
  • Investigate and resolve cash and stock reconciliation breaks between internal ledgers and external custodians.
  • Produce reconciliation reports identifying money differences, position discrepancies, and operational exceptions.
  • Ensure all reconciliation breaks are researched, documented, and resolved within established service levels.

Operational Risk & Regulatory Controls

  • Ensure operational processes comply with applicable SEC, FINRA, and global market regulations.
  • Support compliance with SEC Rule 15c3-3 by helping maintain proper possession and control of customer securities.
  • Identify operational risks and escalate issues that may impact clients, settlement, or regulatory obligations.
  • Maintain complete and organized operational records supporting audits, examinations, and regulatory reviews.
  • Assist the Director of Brokerage Operations with Internal Audit requests, regulatory examinations, and remediation efforts.

Reporting & Process Improvement

  • Produce timely, accurate, and meaningful operational reporting on settlement activity, aged fails, reconciliation breaks, and operational metrics.
  • Prepare work papers, operational summaries, root cause analyses, and management reporting.
  • Identify recurring operational issues through trend analysis and recommend improvements that reduce risk and increase efficiency.
  • Update operational procedures, controls, and documentation as business processes evolve.
  • Support the implementation of policy frameworks while serving as a resource for operational policy questions.

Automation & Strategic Initiatives

  • Partner with Engineering and Product teams to automate manual operational workflows and improve settlement processes.
  • Leverage SQL, Metabase, AI tools (such as Cursor and ChatGPT), and reporting platforms to enhance operational efficiency and analytics.
  • Participate in cross-functional projects supporting new products, international market expansion, and operational scalability.
  • Contribute to continuous improvement initiatives that enhance the client experience while reducing operational risk.

Collaboration

  • Work cross-functionally with Brokerage Operations, Trading, Finance, Compliance, Engineering, and Customer Operations to ensure seamless post-trade processing.
  • Foster an environment of teamwork, accountability, and continuous learning.
  • Support department initiatives and perform additional responsibilities as business needs evolve.

Who You Are (Must-Haves):

  • 2+ years of experience supporting brokerage operations with a focus on global equity settlements
  • Strong understanding of securities settlement lifecycles within a broker-dealer or carrying firm
  • Experience working with third-party clearing firms and global custodians
  • Knowledge of U.S. broker-dealer operations and financial industry regulations.
  • Familiarity with BNY Nexen or similar global custody settlement platforms
  • Working knowledge of SWIFT settlement messaging (MT54x series), Euroclear, DTCC, and international settlement practices
  • Experience settling securities across global markets, including Europe and Asia (Hong Kong, South Korea, and other international markets)
  • Strong expertise performing cash and position reconciliations across multiple currencies and markets
  • Experience investigating trade mismatches and collaborating directly with counterparties to resolve settlement issues
  • Ability to analyze operational data, identify trends, and make sound decisions based on available information
  • Excellent written, verbal, and interpersonal communication skills
  • Strong organizational skills with exceptional attention to detail
  • Ability to manage multiple priorities while working independently in a fast-paced environment
  • Comfortable working remotely while collaborating across distributed teams
  • Working knowledge of SQL, Metabase, or similar reporting and data analysis tools.
  • Proficiency with Microsoft Office and Google Workspace
  • Adaptability to evolving regulatory requirements and business priorities
  • Possess the Securities Industry Essentials (SIE) Exam and Series 99 license (or higher), or obtain the Series 99 within 180 days of hire

We Value Team Members Who

  • Stay Curious by continuously learning and seeking opportunities to improve
  • Have Empathy when collaborating with teammates, clients, and partners
  • Are Accountable by taking ownership of outcomes and following through on commitments

Who You Might Be (Nice-to-Haves):

  • Associate's or Bachelor's degree in Business, Finance, Accounting, Economics, or a related discipline
  • Five or more years of experience in brokerage operations, reconciliation, settlements, accounting, banking, or financial services
  • Experience with DTCC U.S. equity settlement processing
  • Knowledge of tokenized securities or digital asset settlement
  • Experience using AI-powered productivity tools (Cursor, ChatGPT, GitHub Copilot) to automate workflows or enhance data analysis
  • Experience supporting automation initiatives in partnership with Engineering teams.
  • Series 7 or additional FINRA licenses
  • Experience working within a high-growth fintech or electronic brokerage environment

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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