Vice President of Finance

Selby Jennings

New York (NY)

On-site

USD 150,000 - 200,000

Full time

14 days+
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Job summary

A specialized broker-dealer is seeking a talented professional to lead end-to-end brokerage operations, reporting directly to the CEO. This high-visibility role requires a strong background in finance and extensive experience in regulatory compliance, financial reporting, and operational management. The ideal candidate should possess at least a bachelor's degree in accounting or finance, have a FINRA Series 27 license, and bring a minimum of 10 years of experience in similar roles. Join a dynamic environment where you can make a meaningful impact.

Qualifications

  • Bachelor's degree in accounting or finance required; advanced degree and CPA designation strongly preferred.
  • FINRA Series 27 license required.
  • Minimum 10 years of experience in Operations or Finance as a FINOP or similar role.

Responsibilities

  • Partner with the CEO to manage daily operations and implement strategic recommendations.
  • Prepare financial statements in compliance with GAAP and regulatory requirements.
  • Oversee tax planning and compliance under SEC rules.

Skills

Financial reporting
Regulatory compliance
Operations management
Tax planning

Education

Bachelor's degree in accounting or finance
Advanced degree and CPA designation

Tools

GAAP standards
SEC regulations

Job description

Join the executive team at a specialized self-clearing broker-dealer and take charge of end-to-end brokerage operations. In this high-visibility role, reporting directly to the CEO, you'll lead the design and maintenance of accounting processes, financial reporting, and internal controls. You'll ensure GAAP- and SEC-compliant financial statements while staying ahead of evolving regulations and industry standards. This position offers the opportunity to make a meaningful impact in a dynamic environment.

In this role you will be responsible for:
  • Partner with the CEO and senior leadership to manage daily operations, drive process improvements, and implement strategic recommendations.
  • Prepare financial statements and maintain Broker-Dealer records in compliance with GAAP and regulatory requirements, ensuring timely monthly, quarterly, and annual closes.
  • Support the CFO with financial analysis, reporting, and strategic insights.
  • Lead regulatory compliance efforts, monitor industry developments, and manage relationships with external stakeholders, including auditors and regulators.
  • Oversee tax planning and compliance, supervise financial responsibilities under SEC rules, and align financial systems with accounting processes.
  • Manage key reporting and compliance activities, including FOCUS Reports, Net Capital Computations, SSOI, Form Custody, SIPC filings, audits, FINRA exams, and due diligence reviews.
The ideal candidate should have the following qualifications and skills:
  • Bachelor's degree in accounting or finance required; advanced degree and CPA designation strongly preferred.
  • FINRA Series 27 license required.
  • Minimum 10 years of experience in Operations or Finance as a FINOP or in a comparable role at a self-clearing broker-dealer, with deep expertise in broker-dealer operations and regulatory reporting.
  • Experience in Operations, Finance, Compliance, Risk Management, or Treasury is highly desirable.
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