26 sep
|
Bulltick
|
Ciudad de México
26 sep
Bulltick
Ciudad de México
Company Description
Bulltick is an international financial and wealth services firm serving ultra-high net worth private clients and financial institutions, primarily across Latin America. Headquartered in Miami, Florida, the firm has been in operation for 25 years and has built long-term relationships with pension plans, banks, broker-dealers, and asset management firms. Through its institutional division, Bulltick is recognized for strong market insights, quality of execution, and efficient settlement processes.
Its private client division combines the flexibility of an independent advisor with a robust operational and technological platform. Bulltick takes a comprehensive, family office-style approach to managing clients’ integral wealth.
Role Description
Ensure the accurate and timely processing of securities transactions across the trade lifecycle, from trade capture to settlement. The role focuses on supporting daily operational workflows, including confirmations, settlements, reconciliations, cash, and position management.
Responsibilities
- Manage client asset transfers, including incoming/outgoing positions and wire transfers
- Oversee U.S. and non-U.S. trade settlements, including matching, fail control, buy-ins, and margin requirements
- Process ADR conversions
- Ensure proper handling of corporate actions on client accounts
- Allocate trades and deliver confirmations to clients in a timely manner
- Handle trade lifecycle activities, including booking, validation, and resolution of breaks or discrepancies
- Process reallocations and special handling requests based on client needs or operational errors
- Monitor client accounts, including holdings, balances, and activity, to ensure accurate and timely settlement
- Support Trading and Sales desks with trade validation, exception management, and operational issue resolution
- Reconcile settlement-related costs and fees for domestic and international transactions
- Capture and manage settlement instructions across asset classes (Fixed Income, Equities, Options)
- Escalate issues promptly and collaborate with internal teams to resolve discrepancies efficiently
- Ensure proper system configuration and workflow alignment to support accurate settlement processes
- Analyze operational data to identify trends, inefficiencies, and opportunities for improvement
- Ensure compliance with internal policies and operational standards
- Support automation initiatives and system enhancement projects
- Collaborate with cross-functional teams, including Finance, IT, and Compliance
Required Skills
- Fluent in English and Spanish languages (indispensable requirement) , written an oral. Portuguese a plus.
- Strong work ethic with the ability to manage multiple priorities in a fast-paced, demanding environment
- Excellent communication and teamwork skills, with the ability to interact effectively with internal and external stakeholders
- Client-focused mindset with a strong commitment to delivering high-quality service
- Strong analytical, problem-solving, and organizational skills with high attention to detail
- Ability to work independently with minimal supervision while effectively coordinating with cross-functional teams
- Proficiency in Microsoft Office (Excel, Word, Outlook, Teams, etc.)
- Ability to perform under pressure in a dynamic, time-sensitive environment
Qualifications
- Bachelor’s degree in Finance, Accounting, Economics, Business Administration, or related field
- At least 3 years of experience in Operations
- Fluency in English and Spanish (written and spoken); Portuguese is a plus
- SIE (Securities Industry Essentials) and Series 99 (Operations Professional) certifications required (or willingness to obtain)
- Experience with Bloomberg TOMS is desirable
- Experience with Pershing NetX platform is a plus
📌 Broker Dealer Operations Associate (Ciudad de México)
🏢 Bulltick
📍 Ciudad de México