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CF Secured, LLC is a registered broker-dealer regulated by the Financial Industry Regulatory Authority, Inc. ("FINRA") and the Securities and Exchange Commission ("SEC") that engages in secured financing transactions via margin lending, securities borrowing and lending, and reverse repurchase transactions, along with providing clearance, settlement, and other prime brokerage services to hedge funds, institutions, and professional trading entities. The Firm commenced activities in February of 2018, and is actively expanding its client base and product offering. In growing its prime brokerage business, the Firm maintains an entrepreneurial culture and strongly encourages (and rewards) innovation, creativity, and initiative. CF Secured, LLC is a wholly owned by Cantor Fitzgerald, LP. As one of the largest financial services partnerships on Wall Street, Cantor has the ability to focus on creating longer-term value in its businesses, rather than targeting short-term gains. Our partners' deep financial commitment to clients and the Firm creates a natural alignment of interests where the top priorities are investing in Cantor's businesses over the long term to generate steady revenues and maintaining a culture of strong risk management.
The position resides in the CF Secured, LLC front office and will report to the firm's CFO. The individual will have regular interactions with the CEO and COO, Corporate Finance, Treasury, and other groups within the Firm. This individual will work alongside and support other team members in the preparation, analysis, and monitoring of financial reporting and performance metrics.
Responsible for analysis and monitoring of daily, weekly, and monthly P&L metrics across clients, trading desks, and products
Preparation of regular reporting package to senior management, including addressing ad hoc requests and initiatives
Review and analysis of management and GAAP financial reporting
Assist with oversight of the Firm's daily funding requirements and balance sheet optimization, including interaction with Treasury, Funding Desks, and Operations Teams
Working with the Corporate Finance Teams to enhance reporting and analytics
Assist the broader team in the design, development, and testing of new processes and re-engineering initiatives.
Strong analytical skills
Accuracy in preparation of financial data and a detail-focused approach
Self-disciplined, resourceful, and demonstrating initiative
Collaborative team player and able to focus in a fast paced, demanding environment
Excellent verbal and written communication skills
Proficiency with Microsoft Office (especially Excel and PowerPoint)
Bachelor's degree in Accounting or Finance
5+ years experience in the financial services industry
Experience in financial and managerial reporting
Knowledge of securities markets, businesses, and product offerings of major financial institutions
Experience in designing, implementing and testing processes and controls over financial reporting