Who We Are:
Alpaca is a US-headquartered self-clearing broker-dealer and brokerage infrastructure for stocks, ETFs, options, crypto, fixed income, 24/5 trading, and more. Our recent Series C funding round brought our total investment to over $170 million, fueling our ambitious vision.
Amongst our subsidiaries, Alpaca is a licensed financial services company, serving hundreds of financial institutions across 40 countries with our institutional-grade APIs. This includes broker-dealers, investment advisors, wealth managers, hedge funds, and crypto exchanges, totalling over 6 million brokerage accounts.
Our global team is a diverse group of experienced engineers, traders, and brokerage professionals who are working to achieve our mission of opening financial services to everyone on the planet. We're deeply committed to open-source contributions and fostering a vibrant community, continuously enhancing our award-winning, developer-friendly API and the robust infrastructure behind it.
Alpaca is proudly backed by top-tier global investors, including Portage Ventures, Spark Capital, Tribe Capital, Social Leverage, Horizons Ventures, Unbound, SBI Group, Derayah Financial, Elefund, and Y Combinator.
Our Team Members:
We're a dynamic team of 230+ globally distributed members who thrive working from our favorite places around the world, with teammates spanning the USA, Canada, Japan, Hungary, Nigeria, Brazil, the UK, and beyond!
We're searching for passionate individuals eager to contribute to Alpaca's rapid growth. If you align with our core values—Stay Curious, Have Empathy, and Be Accountable—and are ready to make a significant impact, we encourage you to apply.
Your Role:
Our clearing back office team at Alpaca is looking for an Options Clearing Specialist to own the end-to-end option lifecycle for OCC-specific products. You will help build straight-through processing for Alpacas' homegrown self-clearing platform. In this role, you will be directly responsible for working with the responsible party to handle P&S, ACATS, OCC position recon, assignment & exercise processing, corporate actions processing, and required reg and firm reporting.
Things You Get To Do:
- Manage the complete post-trade lifecycle for listed options—clearing, reconciliation, and settlement—using OCC’s ENCORE platform.
- Process daily OCC activity, including trades, exercises/assignments, expiration events, and position reconciliations.
- Monitor real-time position reconciliation to confirm that long and short contracts align internally and externally
- Monitor and resolve trade breaks, unmatched activity, and clearing discrepancies in coordination with counterparties and clearing firms.
- Reconcile firm and customer option positions against OCC records to ensure alignment.
- Confirm that corporate actions, accelerated options, cash-in-lieu processing, and like corporate events are processed promptly.
- Collaborate across departments for margin requirement funding, including pledging equities to reduce daily OCC requirement needs.
- Help fully automate ACATS, CMTAs, Spread file delivery, and LOPR reporting.
- Collaborate with operations, technology, and compliance teams to maintain and improve straight-through processing and exception handling.
- Stay on top of OCC notices, market events, and rule changes, and ensure relevant impacts are assessed and addressed operationally.
Who You Are (Must-Haves):
- 3–5 years of hands-on experience working with OCC ENCORE in a clearing capacity.
- Deep understanding of the listed options clearing lifecycle, including trade capture, assignment, expiration, and reconciliation.
- Familiarity with OCC file types and processing cycles (e.g., E&A files, CMR, position files).
- Strong attention to detail and a track record of resolving operational breakdowns with accuracy and urgency.
- Proficiency with Excel or Google Sheets (pivots, lookups, etc.).
- Excellent communication skills with the ability to work cross-functionally under tight deadlines.
- Comfortable working in a regulated, high-volume environment with a focus on controls and process integrity.
- Possess a FINRA SIE or within the first 180 days of employment
- Must be able to follow the company tenets of:
- Stay Curious
- Have Empathy
- Be Accountable
Who You Might Be (Nice-to-Haves):
- Bachelor’s degree in Finance, Accounting, or a related field.
- Experience reconciling OCC margin or billing components and understanding of collateral workflows.
- Familiarity with clearing broker-dealer operations and omnibus account structures.
- SQL or data analytics skills for building reports and supporting exception analysis.
- Exposure to regulatory reporting (e.g., FOCUS reports, segregation reporting) as it relates to options clearing.
- Experience automating workflows or working with post-trade reconciliation tools.
- Comfortable navigating startup or high-growth fintech environments.
- Deep equities and DTCC knowledge
- Series 7
- Competitive Salary & Stock Options
- Health Benefits
- New Hire Home-Office Setup: One-time USD $500
- Monthly Stipend: USD $150 per month via a Brex Card
Alpaca is proud to be an equal opportunity workplace dedicated to pursuing and hiring a diverse workforce.
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