wealthsimple
Associate, Options Clearing
At a Glance
- Location
- Canada
- Employment
- FULL_TIME
- Experience
- 2+ years
- Compensation
- {'@type': 'MonetaryAmount', 'currency': 'CAD', 'value': {'@type': 'QuantitativeValue', 'minValue': 54400, 'maxValue': 68000, 'unitText': 'YEAR'}}
- Department
- Wealthsimple Technologies
- Posted
- 2026-02-26
Key Requirements
Required Skills
Domain Knowledge
- Finance
- Insurance
- Regulatory
Benefits & Perks
ess platform 🌴 20 vacation days + 4 wellness days per year, a
Requirements
Nice to have:
Available to support early and late hours on rotating shifts as required by market events and settlement cycles.
Have experience or familiarity with programming a plus (especially SQL).
Why Wealthsimple?
Compensation & Benefits
📈 Long-term group savings with employer match using our Wealthsimple for Business platform
🌴 20 vacation days + 4 wellness days per year, and unlimited sick and mental health days
✈️ 90 days away program: Employees can work outside of Canada for up to 90 days per calendar year
👥 A wide variety of peer and company-led Employee Resources Groups (e.g., Rainbow, Women of Wealthsimple, Black @ WS)
🌎 We’re a remote first team with over 1,500 employees across North America - and one of the best things about working here is the people. You’ll be collaborating with incredibly talented, curious, and driven teammates who care deeply about doing great work.
Technology & Innovation at Wealthsimple
About the Company
.
Wealthsimple Operations Associates own and scale processes intelligently, with analytics, grit, and grace. We manage billions of dollars, so the stakes are high. We want to deliver extraordinary experiences that meet our client's on-demand expectations, while being a compliance leader. At Wealthsimple, we are maker-owners, we believe that simple is better, and we do what's right for each client.
In this role, you will:
Be a key member of the Options clearing team, the team is responsible for Options life cycle management
Be responsible for daily execution of all operational critical activities related to options reconciliations, settlements and expiration.