Broker Dealer Accountant
Listed on 2026-09-16
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Finance & Banking
Financial Analyst, Financial Reporting, Financial Compliance, Regulatory Compliance Specialist
Work Location:
Belfast, United Kingdom
Hours:
35
Line of Business:
Personal & Commercial Banking
Pay Details:
We’re committed to providing fair and equitable compensation to all our colleagues. As a candidate, we encourage you to have an open dialogue with a member of our HR Team and ask compensation related questions, including pay details for this role.
Analyst – Finance Accounting - Broker Dealer Regulatory Reporting
The Regulatory Reporting Team is an integral part of the overall Finance – Accounting Function within TD Securities and its subsidiaries which supports the reporting responsibilities for the different US regulated entities as well as providing key metrics internally for management of business, risk and control purposes. The team is responsible for the regulatory policy development and the related reporting production risk controls/processes as it relates to overall FOCUS reporting, net capital and customer protection as well as maintaining key relationships with both internal and regulatory stakeholders (SEC/FINRA/NFA/External Audit).
Job Description:
The primary purpose of this Analyst role is to provide support to TD Securities US Regulatory team with the preparation and analytical review of the daily SEC Rule 15c3-3 Customer Protection as well as assist with FOCUS and Net capital related needs. The role will also entail supporting surrounding on-going initiatives of the group, assisting with engagement with internal and external stakeholders including senior management, regulators and external audits.
Accountabilities
- Assist in the Weekly Customer Protection 3-3 Calculation, while working to build to a daily process
- Identity opportunities to enhance the production process through efficiencies, and strengthen the reporting control framework through automation
- Optimize the regulatory reporting results into useful analytics for internal management purposes, primarily relating to customer protection lock up
- Assist the broker regulatory team in the monthly filing of the FOCUS and respective supplemental reports: SSOI, SLS, OBS, Form Custody, SIPC, FR2004
- Ability to build relationships across teams – Operations, Product Control, Regulatory Reporting, Compliance, etc.
- Ensure polices and procedures documents (SOPs) are maintained and updated regularly
- Finance/Accounting related degree
- and/or a minimum of 1 year relevant finance experience
- Experience in the following areas would be beneficial:
Finance industry experience in various relevant roles - Accounting, Operations, Product Control, Legal entity Double entry book-keeping experience
- High proficiency level across Microsoft suite of products:
Excel (Formulas, Pivot tables, Macro knowledge) - Working knowledge of Axiom (Adenza)
- Broadridge BPS and Broadridge NAPE/IMPACT and other regulatory system functionalities is a plus
- Advance working knowledge and experience in the financial and regulatory aspects of broker dealers, specifically in 15c3-3, along with the business, product, operational and institutional knowledge
- Automation skills via Alteryx & PowerBI is a plus
- Communicate with senior management regarding specific drivers and variances associated etc.
- Detail-oriented and analytical, with the ability to work efficiently with advanced spreadsheets and solve problems with minimal guidance
TD Securities is one of the world’s leading global financial institutions and is the fifth largest bank in North America by branches/stores. Every day, we strive to make every interaction, product, and experience remarkably human and refreshingly simple for over 27 million households and businesses in Canada, the United States and around the world. More than 95,000 TD colleagues bring their skills, talent, and…
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