Atomic Invest logo
Atomic Invest

Operations Associate, Self-Clearing & Corporate Actions

New York City, USARemotePosted 2 weeks ago

Apply opens Atomic Invest's site. When you're back, we'll ask whether you applied.

Job type
Full-time
Work mode
Remote
Level
Not listed
Department
Business Operations
Experience
Not listed
Posted
Sep 14, 2026

About the role

About Atomic

We are a fast-growing, mission-driven company powering the expansion of financial services and wealth creation globally. We build critical financial infrastructure that allows consumer-facing companies to offer engaging investing experiences to their customers in a frictionless way. We host advanced investing capabilities ranging from ESG investing to multi-currency trading across 60 global markets. We are a team of financial empowerment enthusiasts who have come together from various industries including tech, banking, finance, and law.

The company has raised $55M in funding and is positioned to rapidly scale. Come join an exciting opportunity to make a lasting impact!

Once here, you will

Join Atomic's operations team supporting self-clearing infrastructure and corporate actions processing. You'll be hands-on with the day-to-day work of processing corporate actions (spinoffs, distributions, mergers, tender/exchange offers, and mandatory/voluntary reorganizations), supporting clearance and settlement activity, and helping resolve data quality and booking issues as they arise. As Atomic scales its self-clearing capabilities, you'll work closely with engineering, product, and compliance to help build out the operational processes and controls that keep clearing and corporate actions running accurately and on time.

What we are looking for

We're looking for someone hands-on who can dig into the mechanics of corporate actions and clearance/settlement work directly, not just review it after the fact. Some things that may make you a great fit:

  • Active Series 24 (General Securities Principal) license
  • Direct experience processing corporate actions (splits, spinoffs, distributions, mergers, tender/exchange offers) at a broker-dealer or clearing firm
  • Experience with clearance and settlement operations in a self-clearing or correspondent clearing environment
  • Expertise with NSCC/DTC processes, position reconciliation, and asset servicing
  • Strong understanding of double-entry booking methodology and reconciliation across custody, trade, and cash ledgers
  • Margin financing, trading, or underwriting operations experience a bonus