Global Equity Settlement
Full-time
Alpaca
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.
Vacancy posted a month ago
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