to lead and scale our custody function. This critical role will oversee the safekeeping, movement, and reconciliation of client assets across traditional and derivative financial products.
Key Responsibilities
Design, implement, and manage custody operations
across multiple asset classes, ensuring the safe and accurate handling of client funds and securities.
Maintain compliance with the
SEC Custody Rule (206(4)-2)
and applicable FINRA and state regulations.
Oversee daily reconciliation, trade settlement, cash movement, and asset verification processes.
Establish and manage relationships with
qualified custodians
, clearing brokers, fund administrators, and vendors.
Build out custody support for
derivatives
workflows (e.g., margining, collateral, settlements).
Develop and enforce internal
operational policies
, controls, and documentation standards.
Prepare for and manage custody-related audits, examinations, and surprise verifications.
Identify and implement automation opportunities to increase efficiency and reduce risk.
Collaborate with Compliance, Legal, Finance, and Technology teams to support strategic and regulatory initiatives.
Qualifications
3-5 years of experience in custody operations, fund administration, or back-office operations within financial services.
Understanding of
custody structures
, regulatory obligations, and operational risk controls.
Familiarity with
derivatives trade lifecycles
, including collateral and settlement workflows.
Track record of working with custodians, administrators, and/or prime brokers.
Strong analytical, problem-solving, and project management skills.
Comfort operating in a fast-paced, high-growth environment.
Job Type: Full-time
Application Question(s):
* Are you licensed as a broker in US?
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