Brokerage Clearing Specialist
$115k - $125kTensec
DriveWealth is a global B2B financial technology organization dedicated to democratizing access to financial independence around the world. Our mission is realized through an API-based platform, empowering our partners to offer seamless investing and trading experiences to clients worldwide, all from their mobile devices. Our technology provides partners with a modern, extensible toolkit, enabling traditional investment workflows and innovative techniques like fractional share ownership. DriveWealth has evolved into a global platform offering trading of US equities, mutual funds, ETFs, fixed income, and options. We seek enthusiastic professionals to contribute diverse perspectives and experiences to our Brokerage-as-a-Service platform. Our culture blends the pace and opportunity of a tech start-up with the impact, stability, and significance of Wall Street. We encourage creativity and experimentation while ensuring institutional-grade execution and regulatory compliance in everything we do. We value diversity and inclusion, celebrating the unique differences of our employees as we scale and grow together. We’re guided by operating principles grounded in accountability, teamwork, integrity, and solutions built to scale. Join us! About the Role The Purchase and Sales (P&S) Associate plays a critical role in trade processing, reconciliation, and settlement across various asset classes, primarily equities. This position ensures the timely and accurate confirmation of trades, supports regulatory reporting requirements, and coordinates with executing brokers, clients, and internal teams to resolve breaks and exceptions. What You’ll Do Review, match, and confirm trade data from executing brokers and counterparties Process equity and/or fixed income trade activity through the firm’s clearing and settlement systems Ensure accuracy of trade details, including price, quantity, counterparty, and trade date Investigate and resolve trade discrepancies and breaks promptly Liaise with traders, prime brokers, custodians, and counterparties to resolve P&S issues Ensure trades are booked by regulatory guidelines (e.g., SEC, FINRA, DTCC) Monitor trade settlement cycles and assist in fail management to avoid trade fails or buy-ins Generate daily and monthly reconciliation and exception reports Assist with post-trade compliance and regulatory reporting obligations Participate in operational risk and control processes to mitigate financial exposure What You’ll Need 2+ years working in the P&S Dept with a Broker-Dealer P&S specialist with Equity/Option product knowledge Buy-in knowledge re: REGSHO rule Reconciliation of Equity Trade Breaks in CNS Obligation Warehouse monitoring and Corrective action Series 99 Familiarity with industry utilities and platforms (e.g., DTCC, NSCC, TRAQS, NASDAQ WORKX and TRAFIX) Applicants must be authorized to work for any employer in the U.S. DriveWealth is unable to sponsor or take over sponsorship of an employment Visa at this time. Compensation Compensation package offerings are based on candidate experience and technical qualifications, as it relates to the role. These are identified and determined throughout your interviewing experience. Please note: this role is expected to come into our office on a cadence set by the Hiring Manager/Team. New York, NY (Hybrid) Pay Range: $115,000 – $125,000 USD Benefits Competitive medical, dental, and vision insurance options Mental Health and family planning services Unlimited paid time off with ten observed holidays 16 weeks of paid parental leave for biological and adoptive parents Pre-tax commuter benefits
- 2,500 each year to invest in continued education and personal development
- 75 a month in fitness and wellness reimbursement
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