Broker Dealer Accountant
: Wealthfront is seeking a Broker Dealer accountant to join the finance and accounting team to support a dynamic and high-growth business. The individual will perform a critical role interacting with senior management as well as external third parties including partners, auditors, and regulators. Broker-Dealer accountant will be responsible for managing monthly close, monitoring general accounting practices, developing accounting controls, and creating a scalable function for Wealthfront Brokerage. You will report to the Deputy CFO of Wealthfront Brokerage, working closely as a partner to the rest of the accounting team and the Chief Operating Officer of Wealthfront Brokerage.
Responsibilities:
- Net Capital Compliance, FOCUS, SSOI, Form Custody, SIPC 6 & 7 reports
- Perform the weekly and monthly 15c3-3 Customer Reserve computation
- Prepare monthly Net Capital computation 15c3-1
- Prepare and file supplemental schedules required by FINRA
- Prepare bank reconciliations and post month end close journal entries for regulatory balance sheet
- Support the annual external audit, FinOp exam and periodic SEC exam
- Assist in the interpretation and the implementation of new rules and regulations
- Prepare and review journal entries, account reconciliations, P&L and balance sheet flux and variance analysis
- Develop and document internal controls, policies, and procedures; ensure proper documentation and record-keeping compliance
- Maintain positive relationships with regulators (including FINRA, SEC) and auditors (E&Y) by analyzing, researching and responding to inquiries in a timely and accurate manner
- Liaison with accounting software, system vendors, and consultants as required and make recommendations as to ways we can automate and enhance our accounting operations through the implementation of new systems
Requirement:
- 2-4 years of relevant experience
- Series 27 required or ability to obtain within 6 months
- BA/BS degree in Finance, Accounting or similar required; CPA is a plus
- Proficiency in Microsoft Suite, NetSuite, Bill.com
- Knowledge of GAAP, including preparation of audited GAAP financial statements
- Knowledge of Customer Protection (15c3-3) and Net Capital (15c3-1) rules
- Experience with multiple subsidiaries, inter-company allocations/eliminations
- Unquestionable ethics
- Shown ability to communicate effectively at all levels of an organization
- Uncompromising attention to detail with the ability to communicate to the level of detail appropriate to the situation and audience
- Ability to problem-solve and actively address issues in a professional and effective manner
- Enthusiasm to apply technology to business processes
- Strong organizational skills and ability to set and meet deadlines in a high paced environment
- Self-starter who regularly takes initiative and can juggle multiple projects while simultaneously demonstrating creativity and judgment
- Takes pride in meeting deadlines and exceeding expectations on quality of output
- Customer-centric business philosophy and team-oriented mindset
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