Job offer

Securities Operations Specialist

The Securities Operations Specialist is responsible for processing and settling securities and treasury transactions within the bank and the broker-dealer and must work effectively in a dynamic, international environment. The position requires an organized and customer-oriented individual with strong analytical skills and experience in the banking or broker-dealer sector.

Job description

The Securities Operations Specialist is directly responsible for specialized functions, including the processing and settlement of securities and treasury transactions within the bank and the broker-dealer. The Securities Operations Specialist must be an organized self-starter who can work effectively in a fast-paced, dynamic, multi-platform international environment. He or she must be able to work within defined SLA and KPI metrics.

Tasks and responsibilities

  • Provide superior customer service to internal customers (bankers/registry representatives).
  • Support team members, the Securities Operations Specialist, and the Supervisor in providing customer service to internal clients (bankers/registry representatives).
  • Direct point of contact for the clearing agent (Pershing LLC).
  • Conduct investigations into previous discrepancies to ensure the timely settlement of RVP/DVP trades on RTTM.
  • Communicate effectively with counterparties and the trading desk.
  • Establishment of collateral, maintenance of controls, and booking of structured bonds.
  • Creating collateral, maintaining controls, and booking Yankee CDs.
  • Reviewing, preventing, or resolving unresolved trade transactions.
  • Processing of securities transfers (depository-to-depository and ACAT).
  • Reporting or sending notifications regarding margin calls, in-the-money or exercised options, and CA events.
  • Submitting CA elections on NETX360.
  • Maintenance of the cost base.
  • Monitoring and processing margin calls.
  • Maintenance of regulatory reports (DTCC).
  • Investigation of discrepancies related to securities reconciliations, including resolution.
  • Developing and implementing improvements and solutions for tasks and processes with a focus on performance, collaboration, and efficiency.
  • Development and maintenance of procedure manuals.

Requirements

  • Associate's or bachelor's degree (preferably in finance or accounting).
  • Series 99 or Series 7.
  • Knowledge of Netx360.
  • Strong analytical skills.
  • A commitment to providing a positive experience for our customers.
  • 1–3 years of experience in the banking or broker-dealer industry.
  • Microsoft Office; advanced knowledge of Excel. Use of AI agents (Copilot).
  • Proficiency in working with multiple software platforms, including expertise in extracting, analyzing, validating, manipulating, and entering data in such tools.
  • Knowledge of securities characteristics, trade execution, settlement, and reconciliation.
  • Fluency in English is required. Knowledge of Portuguese and/or Spanish is preferred.

We offer

No information available.

Job details

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