Our databases power order management, market data, clearing and settlement, risk controls, and customer asset systems — with high demands on availability, data consistency, and multi-jurisdiction compliance.We are looking for a DBA to join our Singapore team and take ownership of the operations and build-out of the data layer of our multi-region SaaS clusters, with plenty of room to grow into financial-grade data architecture and multi-market compliance practices.
About Us Longbridge is an AI-powered online brokerage that serves global investors with optimal trading experience through building worldwide trading infrastructure and networks. Established in March 2019, Longbridge holds 22 financial licenses and qualifications across the United States, Singapore, Hong Kong, New Zealand and other regions, having secured over US$150 million in strategic investments from major financial and investment institutions. Its subsidiary, Longbridge Securities (Hong Kong) Limited (CE No.: BPX066), holds Type 1, 2, 4, and 9 licenses issued by the Hong Kong Securities and Futures Commission (SFC). What You'll Do Design and develop core backend systems for our wealth management platform, supporting portfolio management, asset allocation, NAV/performance calculation, and rebalancing capabilities Build and optimize shared components within the wealth management system to improve development efficiency and reusability across our wealth management product lines Identify performance bottlenecks and reliability gaps in large-scale computation and data processing workflows (e.g. batch NAV calculation, portfolio rebalancing) to improve system stability and scalability Ensure data accuracy and consistency across account, portfolio, and calculation modules, and continuously optimize system performance Explore applying AI Agent technology to wealth management scenarios (e.g. investment advisory, portfolio insights) to enhance system intelligence What We're Looking For 5+ years of backend development experience, including 2+ years working in Go, with high-performance server-side architecture design Hands-on experience building microservices and high-concurrency/high-throughput production systems Solid understanding of data structures, algorithms, and design patterns Familiar with Linux/Unix environments and common middleware internals Professional written and verbal communication skills in English Nice to Have Domain knowledge in wealth management, asset management, or investment products (e.g. portfolio management, fund products, robo-advisory) Proficiency in Java, Python, or Rust Familiarity with AI development, including AI Agent development and underlying principles
About Us Longbridge Securities, founded in March 2019 and headquartered in Singapore, is a next-generation online brokerage platform. Established by a team of seasoned finance professionals and technical experts from leading global firms, we are committed to advancing financial technology innovation. Our mission is to empower every investor by offering enhanced financial opportunities. What You’ll Do As part of our global expansion, we're seeking a Data Engineer to design and build batch/real-time data warehouses and maintain data platforms that power trading and research for the global market. You'll work on data pipelines, APIs, storage systems, and quality monitoring to ensure reliable, scalable, and efficient data services. Responsibilities Design and build batch/real-time data warehouses to support global market growth Develop efficient ETL pipelines to optimize data processing performance and ensure data quality/stability Build a unified data middleware layer to reduce business data development costs and improve service reusability Collaborate with business teams to identify core metrics and data requirements, delivering actionable data solutions Discover data insights through collaboration with the business owner Maintain and develop enterprise data platforms for the global market Qualifications 5+ years of data engineering experience with a proven track record in data platform/data warehouse projects Proficient in Hadoop ecosystems (Hive, Kafka, Spark, Flink), Trino, SQL, and at least one programming language (Python/Java/Scala) Solid understanding of data warehouse modeling (dimensional modeling, star/snowflake schemas) and ETL performance optimization Familiarity with AWS/cloud platforms and experience with Docker, Kubernetes Experience with open-source data platform development, familiar with at least one relational database (MySQL/PostgreSQL) Strong cross-department collaboration skills to translate business requirements into technical solutions Bachelor's degree or higher in Computer Science, Data Science, Statistics, or related fields Comfortable working in a fast-moving fintech/tech startup environment Preferred Skills Proficiency in Mandarin and English at the business communication level for international team collaboration Experience with DolphinScheduler and SeaTunnel is a plus
About Us Longbridge is a new-generation, AI-driven online brokerage on a mission to make investing smarter, simpler, and more accessible for everyone. Headquartered in Singapore, we are redefining the investment journey by connecting the stages of "Discovery → Learning → Trading." With our proprietary AI assistant, Longbridge AI, and a cloud-native infrastructure, we provide retail investors with institutional-grade insights and a seamless global trading network. At Longbridge, you won’t just be working for a brokerage; you’ll be building the future of financial infrastructure. As part of our global expansion, we’re looking for a hands-on Site Reliability Engineer (SRE) to design, scale, and safeguard the reliability of our next-generation financial platforms. This is a high-impact role where you’ll partner closely with product and engineering teams across the globe. Own system reliability: Design, implement, and operate highly available, secure distributed systems to meet strict uptime and performance targets. Build automation at scale: Develop and enforce best practices in monitoring, alerting, and infrastructure-as-code (e.g., Terraform, Ansible, Helm). Partner globally: Work with development teams from design through deployment, ensuring reliability and resiliency are built in from day one. Lead incident response: Drive on-call processes, conduct root-cause analysis, and continuously reduce MTTR and failure recurrence. Future-proof our stack: Evaluate and adopt modern cloud-native technologies (e.g., Kubernetes, Prometheus, AWS/GCP) to keep systems secure and scalable. Stress-test and safeguard: Lead disaster recovery, chaos testing, and capacity planning for critical wealth management services. What We’re Looking For 5+ years of experience in SRE, DevOps, or production engineering roles. Strong background in AWS (or GCP/Azure) and container orchestration (Docker, Kubernetes). Proficiency in at least one programming language (Python, Go, or similar) for automation and tooling. Solid Linux administration skills and experience with CI/CD pipelines. Proven ability in incident management and troubleshooting distributed systems. Strong collaboration and communication skills across remote/global teams. Comfortable working in a fast-moving fintech/tech startup environment. Bonus: Experience supporting regulated financial systems; ability to communicate in Mandarin to collaborate with Asia-based colleagues. Why Join Us Shape the reliability foundation of our U.S. product launch in wealth tech. Opportunity to build systems from the ground up and influence technical direction. Competitive compensation package and growth opportunities.
About Us Longbridge is a new-generation, AI-driven online brokerage on a mission to make investing smarter, simpler, and more accessible for everyone. Headquartered in Singapore, we are redefining the investment journey by connecting the stages of "Discovery → Learning → Trading." With our proprietary AI assistant, Longbridge AI, and a cloud-native infrastructure, we provide retail investors with institutional-grade insights and a seamless global trading network. At Longbridge, you won’t just be working for a brokerage; you’ll be building the future of financial infrastructure. As part of our global expansion, we’re looking for a hands-on Site Reliability Engineer (SRE) to design, scale, and safeguard the reliability of our next-generation financial platforms. This is a high-impact role where you’ll partner closely with product and engineering teams across the globe. Own system reliability: Design, implement, and operate highly available, secure distributed systems to meet strict uptime and performance targets. Build automation at scale: Develop and enforce best practices in monitoring, alerting, and infrastructure-as-code (e.g., Terraform, Ansible, Helm). Partner globally: Work with development teams from design through deployment, ensuring reliability and resiliency are built in from day one. Lead incident response: Drive on-call processes, conduct root-cause analysis, and continuously reduce MTTR and failure recurrence. Future-proof our stack: Evaluate and adopt modern cloud-native technologies (e.g., Kubernetes, Prometheus, AWS/GCP) to keep systems secure and scalable. Stress-test and safeguard: Lead disaster recovery, chaos testing, and capacity planning for critical wealth management services. What We’re Looking For 5+ years of experience in SRE, DevOps, or production engineering roles. Strong background in AWS (or GCP/Azure) and container orchestration (Docker, Kubernetes). Proficiency in at least one programming language (Python, Go, or similar) for automation and tooling. Solid Linux administration skills and experience with CI/CD pipelines. Proven ability in incident management and troubleshooting distributed systems. Strong collaboration and communication skills across remote/global teams. Comfortable working in a fast-moving fintech/tech startup environment. Bonus: Experience supporting regulated financial systems; ability to communicate in Mandarin to collaborate with Asia-based colleagues. Why Join Us Shape the reliability foundation of our U.S. product launch in wealth tech. Opportunity to build systems from the ground up and influence technical direction. Competitive compensation package and growth opportunities.
About Us Longbridge is a leading next-generation social brokerage service provider, dedicated to redefining the global trading experience through cutting-edge technology. We bridge the gap between social networking and financial services, providing users with a seamless, high-speed, and secure platform to engage with global markets. At Longbridge, we don’t just follow industry standards—we set them. Our engineering culture thrives on innovation, technical excellence, and the use of modern systems programming languages to solve complex financial challenges at scale. Join us as we build the future of fintech. The Role As a Senior Backend Developer, you will be at the heart of our trading ecosystem. You won’t just be writing code; you will be architecting the high-performance foundations that power real-time securities trading. You will tackle challenges related to massive concurrency, ultra-low latency, and distributed systems reliability. Key Responsibilities: Architect & Build: Design, implement and maintain the core infrastructure platform that supports our US securities trading system. Collaborate: Partner with cross-functional business and product teams to translate complex trading functionalities and business requirements into scalable technical solutions. Optimize for Performance: Continuously refine code and system architecture to achieve micro-millisecond latency and high throughput, ensuring our traders have a competitive edge. Ensure Resilience: Maintain and improve system stability and high availability, implementing robust monitoring and failover strategies. Modernize: Contribute to the evolution of our tech stack, advocating for best practices in systems programming and infrastructure-as-code. What You’ll Bring Bachelor’s or Master’s degree in Computer Science, Software Engineering, or a related technical field. At least 5 years experience in backend development. CS Mastery: A rock-solid understanding of computer science fundamentals, including complex data structures, algorithms, operating systems and networking. Systems Expertise: Proven professional experience with Rust. We are also open to experts in Go or C++ who are eager to master Rust in a production environment. Operational Mindset: Experience with Linux internals, performance profiling, and debugging complex distributed systems. Soft Skills: An innovative mindset with a "built-to-last" philosophy. You are a fast learner who stays ahead of the curve in a rapidly changing tech landscape. Bonus Points Deep experience with Functional Programming (e.g., OCaml, Erlang, Elixir, or Haskell). Prior experience in trading platform (FinTech or Financial Services). Job Location: the preferred job location is Dallas or New York on hybrid working mode. But we are open to candidates from other locations (remote).
Longbridge Securities was founded in March 2019 and is headquartered in Singapore. The company holds 22 financial licenses and qualifications across the United States, Hong Kong, Singapore and other regions, having secured over USD150 million in strategic investments from major financial and investment institutions. Its subsidiary, Longbridge Securities (Hong Kong) Limited (CE No.: BPX066), holds Type 1, 2, 4, and 9 licenses issued by the Hong Kong Securities and Futures Commission (SFC).
Budget Management & Business Modeling: Lead the formulation and oversight of monthly and annual budgets for Singapore and U.S. markets. Continuously monitor budget execution and deliver Budget vs. Actual variance reports, including market cadence, campaign execution, and channel efficiency. Business Approval & Financial Risk Management: Review contracts, payments, and marketing project proposals to ensure regulatory compliance and financial soundness. Identify financial risk exposures within marketing expenditures, intervening early in the business cycle to mitigate potential losses. Standardize expense-approval workflows, strengthen internal controls, and streamline business-finance processes to improve cross-departmental collaboration. End-to-End Project Finance Oversight: Provides comprehensive financial support across marketing campaigns and user-growth initiatives, including pre-launch appraisal (ROI forecasting), ongoing monitoring (budget consumption and financial metrics), and post-completion review (ROI realization and performance attribution). Proactively align with business teams on key financial metrics, providing timely feedback to avoid unnecessary waste or inefficiency. Build and maintain financial models for campaigns, continuously accumulating and refining benchmark data and financial models to fit new marketing scenarios over time. Business Decision Support & Management Analysis: Engage substantively in business reviews, project initiations, contributing a financial perspective throughout the strategy-formulation process rather than retrospective analysis. Produce regular management reports on local-market user growth, leveraging core metrics such as LTV, CAC, and ROI to assess business health. Develop financial "North Star" metrics framework spanning the full range of marketing activities, including Feed ads, KOL partnerships, Brand & marketing campaigns.
As a Legal Counsel at Longbridge US Office, you will play a critical role in providing strategic legal and commercial support across the our businesses in the United States and globally. You will be responsible for rendering strategic legal and commercial guidance, ensuring compliance with US federal and state regulatory requirements, mitigating legal risks, and supporting the company’s ordinary businesses. In this capacity, you will collaborate with compliance team, finance team, business teams, and other departments to address complex legal matters in a dynamic and rapidly evolving financial and technology industry environment. Key Responsibilities: Legal Advisory and Business Support Advise on legal risks and opportunities related to the day-to-day securities brokerage business activities, including broker-dealer operations, margin lending, securities trading, asset management, AI-driven products, digital assets services, investment adviser services and other financial and technology services. Provide front-line legal support to the US brokerage, product, and operations teams on customer-facing terms, disclosures, and trading-platform features. Advise on the launch and ongoing operation of US securities products and services Support digital innovation initiatives, including the development of AI-powered platforms, cryptocurrency/digital asset products, and data-driven services. Provide legal support for US-entity corporate matters and, on an as-needed basis, assist group transactions that directly involve the US business. Regulatory Compliance and Risk Management Advise on securities regulatory and licensing requirements applicable to Longbridge’s businesses in the United States, including broker-dealer registration, investment adviser registration, SRO membership, and the rules of the SEC, FINRA, CFTC, FinCEN, and other applicable regulators. Liaise with regulators, external counsel as well as in-house compliance officers as needed. Provide legal guidance on US regulations governing AI applications in financial services, including emerging federal and state-level AI governance frameworks. Advise on cryptocurrency and digital asset regulations, including compliance with applicable SEC/CFTC jurisdictional requirements, token classification, and evolving federal and state crypto licensing regimes. Advise on data security, privacy, and cybersecurity matters, including compliance with US federal frameworks and state laws such as CCPA/CPRA, and other applicable data protection regulations. Monitor legal and regulatory developments, including securities and broker-dealer rulemaking, impacting the business and develop strategies to ensure compliance. Collaborate with the CCO with respect to responses to SEC, FINRA, and state regulatory inquiries, audits, investigations, and enforcement actions. Contract Negotiation and Documentation Draft, review, and negotiate a broad range of agreements, including client agreements, vendor contracts, commercial contracts, AI/technology licensing agreements, digital asset service agreements, data processing agreements, trade confirmations, and product term sheets. Develop and maintain legal and contractual templates to standardize and streamline documentation processes. Corporate Governance Provide legal guidance on the US entity’s corporate governance matters, including board and shareholder resolutions, maintenance of corporate records, and company policies, as required. Litigation and Dispute Resolution Oversee and manage external counsel in litigation and dispute resolution processes, including securities-related disputes, customer claims, data breach incidents, and regulatory enforcement actions. Develop strategies for dispute resolution, ensuring the protection of the company’s interests while minimizing legal risk. Leadership and Collaboration Work closely with cross-functional teams (e.g., Compliance, Finance, Operations, Product and Technology, and HR) to provide comprehensive legal support across the US business. Liaise regularly across business areas to ensure alignment of legal strategies and policies. Represent the Legal Department in fiduciary forums, risk committees, and board meetings as required. Qualifications: Juris Doctor (J.D.) from an accredited US law school, or equivalent law degree from a recognized and reputable institution. Licensed to practice law in at least one US state (required), admission to the New York or Texas Bar is strongly preferred. 3-7 years of post-qualification legal experience. Strong experience in corporate, commercial, and regulatory matters in the US; demonstrated exposure to securities and broker-dealer regulation, investment adviser regulation, financial services, fintech, AI/machine learning businesses, cryptocurrency/digital assets, and/or data security and privacy is required. Hands-on experience advising a registered broker-dealer on SEC and FINRA rules is a must. Strong preference for in-house experience at a securities brokerage or broker-dealer; experience at a bank, financial institution, fintech, or technology company is also valued. Solid understanding of the legal and regulatory landscape for US securities laws and broker-dealer and investment adviser regulation, as well as AI applications Familiarity with cryptocurrency and digital asset regulations, including token offerings, exchange licensing, stablecoin frameworks, and DeFi-related legal risks. Working knowledge of data security laws and cybersecurity compliance, including incident response obligations, vendor risk management, and cross-border data transfer requirements. Up-to-date knowledge of legal, regulatory, and market developments in the financial industry. A collaborative team player with an entrepreneurial mindset and the ability to work independently. Strong communication, analytical, negotiation, and drafting skills, with a proactive approach to risk mitigation. Job Location: Dallas, TX (Preferred) or New York Bonus Point: Chinese language is a bonus point to interact with internal stakeholders (Product & Engineering) in Asia, but not a must
As a Legal Counsel at Longbridge US Office, you will play a critical role in providing strategic legal and commercial support across the our businesses in the United States and globally. You will be responsible for rendering strategic legal and commercial guidance, ensuring compliance with US federal and state regulatory requirements, mitigating legal risks, and supporting the company’s ordinary businesses. In this capacity, you will collaborate with compliance team, finance team, business teams, and other departments to address complex legal matters in a dynamic and rapidly evolving financial and technology industry environment. Key Responsibilities: Legal Advisory and Business Support Advise on legal risks and opportunities related to the day-to-day securities brokerage business activities, including broker-dealer operations, margin lending, securities trading, asset management, AI-driven products, digital assets services, investment adviser services and other financial and technology services. Provide front-line legal support to the US brokerage, product, and operations teams on customer-facing terms, disclosures, and trading-platform features. Advise on the launch and ongoing operation of US securities products and services Support digital innovation initiatives, including the development of AI-powered platforms, cryptocurrency/digital asset products, and data-driven services. Provide legal support for US-entity corporate matters and, on an as-needed basis, assist group transactions that directly involve the US business. Regulatory Compliance and Risk Management Advise on securities regulatory and licensing requirements applicable to Longbridge’s businesses in the United States, including broker-dealer registration, investment adviser registration, SRO membership, and the rules of the SEC, FINRA, CFTC, FinCEN, and other applicable regulators. Liaise with regulators, external counsel as well as in-house compliance officers as needed. Provide legal guidance on US regulations governing AI applications in financial services, including emerging federal and state-level AI governance frameworks. Advise on cryptocurrency and digital asset regulations, including compliance with applicable SEC/CFTC jurisdictional requirements, token classification, and evolving federal and state crypto licensing regimes. Advise on data security, privacy, and cybersecurity matters, including compliance with US federal frameworks and state laws such as CCPA/CPRA, and other applicable data protection regulations. Monitor legal and regulatory developments, including securities and broker-dealer rulemaking, impacting the business and develop strategies to ensure compliance. Collaborate with the CCO with respect to responses to SEC, FINRA, and state regulatory inquiries, audits, investigations, and enforcement actions. Contract Negotiation and Documentation Draft, review, and negotiate a broad range of agreements, including client agreements, vendor contracts, commercial contracts, AI/technology licensing agreements, digital asset service agreements, data processing agreements, trade confirmations, and product term sheets. Develop and maintain legal and contractual templates to standardize and streamline documentation processes. Corporate Governance Provide legal guidance on the US entity’s corporate governance matters, including board and shareholder resolutions, maintenance of corporate records, and company policies, as required. Litigation and Dispute Resolution Oversee and manage external counsel in litigation and dispute resolution processes, including securities-related disputes, customer claims, data breach incidents, and regulatory enforcement actions. Develop strategies for dispute resolution, ensuring the protection of the company’s interests while minimizing legal risk. Leadership and Collaboration Work closely with cross-functional teams (e.g., Compliance, Finance, Operations, Product and Technology, and HR) to provide comprehensive legal support across the US business. Liaise regularly across business areas to ensure alignment of legal strategies and policies. Represent the Legal Department in fiduciary forums, risk committees, and board meetings as required. Qualifications: Juris Doctor (J.D.) from an accredited US law school, or equivalent law degree from a recognized and reputable institution. Licensed to practice law in at least one US state (required), admission to the New York or Texas Bar is strongly preferred. 3-7 years of post-qualification legal experience. Strong experience in corporate, commercial, and regulatory matters in the US; demonstrated exposure to securities and broker-dealer regulation, investment adviser regulation, financial services, fintech, AI/machine learning businesses, cryptocurrency/digital assets, and/or data security and privacy is required. Hands-on experience advising a registered broker-dealer on SEC and FINRA rules is a must. Strong preference for in-house experience at a securities brokerage or broker-dealer; experience at a bank, financial institution, fintech, or technology company is also valued. Solid understanding of the legal and regulatory landscape for US securities laws and broker-dealer and investment adviser regulation, as well as AI applications Familiarity with cryptocurrency and digital asset regulations, including token offerings, exchange licensing, stablecoin frameworks, and DeFi-related legal risks. Working knowledge of data security laws and cybersecurity compliance, including incident response obligations, vendor risk management, and cross-border data transfer requirements. Up-to-date knowledge of legal, regulatory, and market developments in the financial industry. A collaborative team player with an entrepreneurial mindset and the ability to work independently. Strong communication, analytical, negotiation, and drafting skills, with a proactive approach to risk mitigation. Job Location: Dallas, TX (Preferred) or New York Bonus Point: Chinese language is a bonus point to interact with internal stakeholders (Product & Engineering) in Asia, but not a must
About Us Longbridge is an AI-Powered online brokerage that serves global investors with optimal trading experiences through building worldwide trading infrastructure and networks. Established in March 2019, Longbridge holds 22 financial licenses and qualifications across the United States, Singapore, Hong Kong, New Zealand and other regions, having secured over US $150 million in strategic investments from major financial and investment institutions. Its subsidiary, Longbridge Securities (Hong Kong) Limited (CE No.: BPX066), holds Type 1, 2, 4, and 9 licenses issued by the Hong Kong Securities and Futures Commission (SFC). Responsibilities Partner with recruiters to source, screen, and assess candidates across various functions; Manage job postings on relevant job boards and social media platforms, and manage candidate applications; Coordinate interviews across multiple time zones and ensure a seamless candidate experience; Assist in employer branding initiatives, such as social media content creation, events; Conduct market research and generate insights on talent trends and competitor benchmarking; Assist in talent mapping and talent pool constructions for core positions; Contribute to broader People Team initiatives and HR projects as needed. Qualifications Currently pursuing or recently completed a degree in Human Resources, Business, Psychology, or a related field; Detail-oriented with strong organizational and interpersonal skills; Proactive, adaptable, and eager to learn in a fast-paced environment; Comfortable working across diverse teams and regional stakeholders; Prior internship or project experience in recruitment a plus; Available for a minimum commitment of 3 months (full-time or part-time). Bilingual in English and Chinese to support regional sourcing and internal policy drafting.
About Us Longbridge Securities was founded in March 2019 and is headquartered in Singapore. The company holds 22 financial licenses and qualifications across the United States, Hong Kong, Singapore and other regions, having secured over USD150 million in strategic investments from major financial and investment institutions. Its subsidiary, Longbridge Securities (Hong Kong) Limited (CE No.: BPX066), holds Type 1, 2, 4, and 9 licenses issued by the Hong Kong Securities and Futures Commission (SFC). Responsibilities Build and manage our financial news ecosystem, acting as the editorial leads to respond rapidly to trends and deliver high-impact investment insights Leverage GenAI and new sourcing channels to expand coverage, increase production speed, and keep our content ahead of the curve Collaborate with Product and Algorithm teams to refine recommendation logic, optimize user pathways, and drive key metrics like engagement and conversion Assist in other ad-hoc duties as assigned Requirements Minimum 3 years' in financial content operations, editing, or news curation, with strong knowledge of Hong Kong and U.S. equity markets Experience productizing content workflows and using data to influence algorithms and product features Global mindset — familiar with international audience habits Self-driven, innovative, and agile — you thrive in fast-paced settings and are willing to work flexible hours to match global market windows Excellent command in spoken and written English and good command in spoken and written Chinese is preferred
About Us Longbridge is an AI-Powered online brokerage that serves global investors with optimal trading experiences through building worldwide trading infrastructure and networks. Established in March 2019, Longbridge holds 22 financial licenses and qualifications across the United States, Singapore, Hong Kong, New Zealand and other regions, having secured over US $150 million in strategic investments from major financial and investment institutions. Its subsidiary, Longbridge Securities (Hong Kong) Limited (CE No.: BPX066), holds Type 1, 2, 4, and 9 licenses issued by the Hong Kong Securities and Futures Commission (SFC) We are seeking an agile, detail-oriented Senior Compliance Officer to support the day-to-day regulatory compliance framework across our SFC-regulated activities. You will play a key role in monitoring compliance operations, tracking regulatory changes, and championing a transparent, risk-aware culture across the firm. Key Responsibilities Monitoring & Operations - Execute daily compliance monitoring routines, thematic reviews, and risk assessments to ensure ongoing regulatory alignment. - Process employee compliance workflows, including personal account dealing, gifts and entertainment, and potential conflicts of interest. - Investigate compliance incidents, customer complaints, and potential breaches, ensuring accurate documentation across official registers. Policy, Governance & Reporting - Assist in maintaining and updating compliance manuals, internal policies, and procedures as Hong Kong regulatory requirements evolve. - Prepare comprehensive compliance reports and management information (MI) for senior executives and internal committees. - Track regulatory developments from the SFC and other relevant authorities, translating new rules into clear, practical guidelines for business units. Regulatory Engagement & Advisory - Support the firm through SFC reporting, statutory submissions, regulatory inspections, audits, and official inquiries. - Utilize strong stakeholder management skills to serve as a supportive compliance partner across all operational departments. - Help deliver internal compliance training programs to promote a positive, open compliance culture across the firm. Key Requirements - Education & Credentials: Bachelor’s degree in Law, Accounting, Finance, Business Administration, or a related discipline. Professional qualifications (HKICPA, ACCA, CFA) are highly regarded. - Experience: Approximately 3+ years of relevant experience in audit, risk advisory, or regulatory compliance. Big 4 or professional services experience is strongly preferred. - Regulatory Knowledge: Sound understanding of the Hong Kong financial regulatory framework. Deep, specialized SFC knowledge can be developed on the job through our structured mentoring and training programs. - Skills: Strong analytical, problem-solving, and organizational skills with sharp attention to detail. - Languages: Professional fluency in written and spoken English and Chinese (Cantonese and/or Mandarin). - Mindset: Proactive, collaborative, and hands-on approach with a strong drive to continuously learn and take ownership.
About Us Longbridge is an AI-Powered online brokerage that serves global investors with optimal trading experiences through building worldwide trading infrastructure and networks. Established in March 2019, Longbridge holds 22 financial licenses and qualifications across the United States, Singapore, Hong Kong, New Zealand and other regions, having secured over US $150 million in strategic investments from major financial and investment institutions. Its subsidiary, Longbridge Securities (Hong Kong) Limited (CE No.: BPX066), holds Type 1, 2, 4, and 9 licenses issued by the Hong Kong Securities and Futures Commission (SFC) Key Responsibilities Identify and assess compliance risks associated with the company's development initiatives and daily operations. Stay updated on new or revised regulatory rules and legal requirements relevant to various business units. Review and approve marketing materials and communications to ensure alignment with regulatory standards. Monitor and track remedial actions arising from compliance monitoring activities, ensuring timely resolution of issues. Deliver in-house compliance training to enhance staff awareness of regulatory requirements and best practices. Participate in new product development and undertake ad-hoc projects as required. Requirements Bachelor's degree in Finance, Accounting, Law, Risk Management, or related disciplines. Minimum 5 years of relevant experience in the finance and banking industry. Experience in professional services firm is a bonus. Strong knowledge of SFC rules and regulations pertaining to Type 1, 2, 4, and 9 regulated activities. Proficiency in MS Office applications (Excel, PowerPoint, Word) and Chinese word processing software. Highly independent, self-motivated, and adaptable. Excellent command of written and spoken English and Cantonese; proficiency in Putonghua required.
About Us Longbridge is an AI-Powered online brokerage that serves global investors with optimal trading experiences through building worldwide trading infrastructure and networks. Established in March 2019, Longbridge holds 22 financial licenses and qualifications across the United States, Singapore, Hong Kong, New Zealand and other regions, having secured over US $150 million in strategic investments from major financial and investment institutions. Its subsidiary, Longbridge Securities (Hong Kong) Limited (CE No.: BPX066), holds Type 1, 2, 4, and 9 licenses issued by the Hong Kong Securities and Futures Commission (SFC) Key Responsibilities Lead Alert Review & Sign-off: Oversee and review transaction monitoring alerts generated by automated surveillance systems, ensuring timely and accurate dispositioning of potential money laundering, terrorist financing, and sanctions risks. Complex TM Investigations: Conduct in-depth investigations into complex, high-risk transactions and unusual client trading patterns; review and approve investigation rationales and supporting evidence compiled by analysts. STR Review & JFIU Filings: Draft, review, and finalize Suspicious Transaction Reports (STRs) for submission to the Joint Financial Intelligence Unit (JFIU), assisting the MLRO in critical reporting decisions and regulatory liaisons. Risk Escalation & Account Actions: Escalate material findings, emerging ML/TF typologies, and severe sanctions risks to the MLRO and Senior Management, providing actionable recommendations on account restrictions, exits, or enhanced monitoring. System Optimization & Rule Tuning: Partner with Compliance, Product, and Tech teams to refine transaction monitoring rules, thresholds, and scenario models, optimizing system accuracy for high-volume, online brokerage environments. Audit & Regulatory Management: Maintain audit-ready investigation records, case management files, and STR logs; lead responses for internal audits, external reviews, and SFC regulatory inquiries related to transaction surveillance. MIS & Team Mentorship: Prepare management information system (MIS) reports and metrics for senior leadership; mentor junior team members on investigative techniques, typology identification, and report writing. Requirements Bachelor's degree in Finance, Business, Law, Compliance, or a related discipline. Minimum 4 years’ experience in transaction monitoring, AML investigations, and STR reporting within an SFC-licensed corporation, online brokerage, or Fintech/financial institution in Hong Kong, with demonstrated supervisory experience. In-depth knowledge of the Anti-Money Laundering and Counter-Terrorist Financing Ordinance (Cap. 615), the SFC AML/CFT Guideline, and hands-on expertise with JFIU STR reporting obligations. Proven track record in managing complex alert investigations, identifying sophisticated securities-related ML typologies/red flags, and drafting high-quality STRs. Active CAMS (Certified Anti-Money Laundering Specialist) or equivalent AML professional certification. Hands-on experience with transaction monitoring systems, high-volume digital environments, and scenario tuning/rule optimization. Exceptional analytical, investigative, and report-writing skills, with strong capacity for risk adjudication under time-sensitive constraints. Fluency in English and Chinese (Cantonese and/or Mandarin), including proficiency in reviewing Chinese-language transaction and client records.
About Us Longbridge is an AI-Powered online brokerage that serves global investors with optimal trading experiences through building worldwide trading infrastructure and networks. Established in March 2019, Longbridge holds 22 financial licenses and qualifications across the United States, Singapore, Hong Kong, New Zealand and other regions, having secured over US $150 million in strategic investments from major financial and investment institutions. Its subsidiary, Longbridge Securities (Hong Kong) Limited (CE No.: BPX066), holds Type 1, 2, 4, and 9 licenses issued by the Hong Kong Securities and Futures Commission (SFC) We are seeking an agile, detail-oriented Assistant Compliance Manager to support the day-to-day regulatory compliance framework across our SFC-regulated activities. You will play a key role in monitoring compliance operations, tracking regulatory changes, and championing a transparent, risk-aware culture across the firm. Key Responsibilities Monitoring & Operations Execute daily compliance monitoring routines, thematic reviews, and risk assessments to ensure ongoing regulatory alignment. Process employee compliance workflows, including personal account dealing, gifts and entertainment, and potential conflicts of interest. Investigate compliance incidents, customer complaints, and potential breaches, ensuring accurate documentation across official registers. Policy, Governance & Reporting Assist in maintaining and updating compliance manuals, internal policies, and procedures as Hong Kong regulatory requirements evolve. Prepare comprehensive compliance reports and management information (MI) for senior executives and internal committees. Track regulatory developments from the SFC and other relevant authorities, translating new rules into clear, practical guidelines for business units Regulatory Engagement & Advisory Support the firm through SFC reporting, statutory submissions, regulatory inspections, audits, and official inquiries. Utilize strong stakeholder management skills to serve as a supportive compliance partner across all operational departments. Help deliver internal compliance training programs to promote a positive, open compliance culture across the firm. Key Requirements Education & Credentials: Bachelor’s degree in Law, Accounting, Finance, Business Administration, or a related discipline. Professional qualifications (HKICPA, ACCA, CFA) are highly regarded. Experience: Approximately 5+ years of relevant experience in audit, risk advisory, or regulatory compliance. Big 4 or professional services experience is strongly preferred. Regulatory Knowledge: Sound understanding of the Hong Kong financial regulatory framework. Deep, specialized SFC knowledge can be developed on the job through our structured mentoring and training programs. Skills: Strong analytical, problem-solving, and organizational skills with sharp attention to detail. Languages: Professional fluency in written and spoken English and Chinese (Cantonese and/or Mandarin). Mindset: Proactive, collaborative, and hands-on approach with a strong drive to continuously learn and take ownership.
About Us Longbridge is an AI-Powered online brokerage that serves global investors with optimal trading experiences through building worldwide trading infrastructure and networks. Established in March 2019, Longbridge holds 22 financial licenses and qualifications across the United States, Singapore, Hong Kong, New Zealand and other regions, having secured over US $150 million in strategic investments from major financial and investment institutions. Its subsidiary, Longbridge Securities (Hong Kong) Limited (CE No.: BPX066), holds Type 1, 2, 4, and 9 licenses issued by the Hong Kong Securities and Futures Commission (SFC) Key Responsibilities Perform customer due diligence (CDD), enhanced due diligence (EDD) and simplified due diligence for individual and corporate clients at onboarding and on an ongoing basis. Conduct KYC verification, beneficial ownership identification and source of wealth / source of funds assessments. Carry out name screening against sanctions, politically exposed persons (PEP) and adverse media lists, and investigate and disposition potential matches. Perform periodic reviews and trigger-event reviews of client relationships based on risk rating and review cycles. Assess and assign customer risk ratings in accordance with the firm's risk-based approach. Escalate high-risk clients, unusual findings and potential suspicious activity to the AML team / MLRO. Maintain accurate, complete and up-to-date client records and CDD documentation in relevant systems. Support the enhancement of KYC/CDD procedures, workflows and screening tooling, and assist with audits and regulatory reviews Requirements Bachelor's degree in Finance, Business, Law or a related discipline. Minimum 2 years' KYC/CDD experience within an SFC-licensed corporation, bank or financial institution in Hong Kong. Solid knowledge of the Anti-Money Laundering and Counter-Terrorist Financing Ordinance (Cap. 615) and the SFC AML/CFT Guideline. Hands-on experience with name screening, PEP/sanctions screening and adverse media checks. Familiarity with individual and corporate onboarding, beneficial ownership structures and source of funds/wealth assessment. Strong attention to detail, analytical skills and sound documentation discipline. Proficiency in English and Chinese (Cantonese and/or Mandarin), including reading Chinese-language documents. ACAMS or equivalent AML certification. Experience with KYC/screening systems and high-volume, digital-first onboarding. Experience with KYC/CDD procedures for corporate clients will be an advantage.
About Us Longbridge is an AI-Powered online brokerage that serves global investors with optimal trading experiences through building worldwide trading infrastructure and networks. Established in March 2019, Longbridge holds 22 financial licenses and qualifications across the United States, Singapore, Hong Kong, New Zealand and other regions, having secured over US $150 million in strategic investments from major financial and investment institutions. Its subsidiary, Longbridge Securities (Hong Kong) Limited (CE No.: BPX066), holds Type 1, 2, 4, and 9 licenses issued by the Hong Kong Securities and Futures Commission (SFC) Key Responsibilities Provide compliance advisory on new business proposals, products, services and marketing arrangements, with guidance from senior team members. Support A.I. related initiatives, advising on regulatory, compliance and governance implications of deploying A.I. in firm's products and services. Assess and escalate regulatory implications of new initiatives across SFC regulated activities (Type 1, 2, 4, 5, 9). Review marketing materials, client communications and promotional content for compliance with SFC Code of Conduct. Advise on distribution, suitability and client onboarding requirements for new business lines. Assist in drafting and maintaining policies, procedures and internal controls for new business initiatives. Collaborate with front office, legal, product and operations teams to implement compliant workflows. Support regulatory engagement and provide compliance training to business stakeholders. Requirements Bachelor's degree in Law, Finance, Business, Accounting or related discipline. At least 2 years' compliance experience within an SFC-licensed corporation, bank or professional services firm. Working knowledge of the Securities and Futures Ordinance (Cap. 571) and SFC regulatory framework. Demonstrated experience (or strong aptitude for) advising on new products and translating regulatory requirements into practical controls. Sound judgment with ability to balance regulatory risk and business needs. Strong written and verbal communication skills in English and Chinese (Cantonese and/or Mandarin). High integrity, attention to detail and ability to work under tight timelines. Experience in fintech, online brokerage or wealth management is a plus.
About Us Longbridge is an AI-Powered online brokerage that serves global investors with optimal trading experiences through building worldwide trading infrastructure and networks. Established in March 2019, Longbridge holds 22 financial licenses and qualifications across the United States, Singapore, Hong Kong, New Zealand and other regions, having secured over US $150 million in strategic investments from major financial and investment institutions. Its subsidiary, Longbridge Securities (Hong Kong) Limited (CE No.: BPX066), holds Type 1, 2, 4, and 9 licenses issued by the Hong Kong Securities and Futures Commission (SFC) Key Responsibilities Monitor and review transaction alerts generated by the transaction monitoring system for potential money laundering, terrorist financing and sanctions risk. Investigate flagged transactions and client activity, gathering supporting information and documenting analysis and rationale. Prepare and file suspicious transaction reports (STRs) with the Joint Financial Intelligence Unit (JFIU) and support the MLRO in related decisions. Escalate material findings and typologies to the AML team / MLRO and recommend account actions where appropriate. Maintain complete investigation records, case files and STR logs to audit and regulatory standards. Contribute to AML risk assessments, management reporting, and responses to regulatory and audit reviews. Requirements Bachelor's degree in Finance, Business, Law or a related discipline. Minimum 3 years' transaction monitoring / AML investigation experience within an SFC-licensed corporation, bank or financial institution in Hong Kong. Solid knowledge of the Anti-Money Laundering and Counter-Terrorist Financing Ordinance (Cap. 615), the SFC AML/CFT Guideline and STR reporting obligations. Practical experience conducting alert investigations and preparing STRs / filings to the JFIU. Understanding of money laundering typologies, red flags and sanctions requirements relevant to securities trading. Strong analytical, investigative and report-writing skills with excellent attention to detail. Proficiency in English and Chinese (Cantonese and/or Mandarin). Experience in an online brokerage or fintech environment with high transaction volumes
About Us Longbridge is an AI-Powered online brokerage that serves global investors with optimal trading experiences through building worldwide trading infrastructure and networks. Established in March 2019, Longbridge holds 22 financial licenses and qualifications across the United States, Singapore, Hong Kong, New Zealand and other regions, having secured over US $150 million in strategic investments from major financial and investment institutions. Its subsidiary, Longbridge Securities (Hong Kong) Limited (CE No.: BPX066), holds Type 1, 2, 4, and 9 licenses issued by the Hong Kong Securities and Futures Commission (SFC) Key Responsibilities Lead and Oversee CDD/EDD Execution: Lead end-to-end Customer Due Diligence (CDD) and Enhanced Due Diligence (EDD) for high-risk individual and complex institutional clients (e.g., offshore entities, trusts, funds) at onboarding and periodic review stages. Complex Ownership & Wealth Analysis: Approve complex corporate ownership unraveling to ultimate beneficial owners (UBOs) and conduct high-level assessments of Source of Wealth (SoW) and Source of Funds (SoF) for ultra-high-net-worth (UHNW) and institutional clients. Advanced Screening & Risk Escalation: Act as the escalated decision-maker for high-risk sanctions, PEPs, and adverse media alerts; clear complex false positives and draft formal risk assessment reports to the MLRO and Senior Management. Risk Rating & Policy Alignment: Review and approve customer risk ratings under a Risk-Based Approach (RBA), ensuring continuous compliance with HK Cap. 615 and SFC AML/CFT Guidelines. Quality Assurance (QA) & Team Oversight: Perform Quality Assurance (QA) reviews on CDD/EDD files, mentor and train junior/mid-level analysts, and drive team operational consistency and accuracy. Workflow & Tech Enhancement: Collaborate with Fintech/Tech teams to optimize digital onboarding workflows, screening logic, and automated KYC tooling to boost efficiency and screening accuracy. Audit & Regulatory Lead: Serve as a primary point of contact for internal/external audits and SFC regulatory inspections, ensuring full CDD record integrity and zero-defect compliance. Requirements Bachelor’s degree in Finance, Business, Law, Compliance or a related discipline. Minimum 5 years’ KYC/CDD/AML experience within an SFC-licensed corporation, investment bank, or major financial institution in Hong Kong, with proven exposure in a senior or supervisory capacity. Deep knowledge and operational expertise in the Anti-Money Laundering and Counter-Terrorist Financing Ordinance (Cap. 615) and the SFC AML/CFT Guideline. Advanced expertise in name screening, PEP/sanctions/adverse media investigation, complex corporate structures (BVI, Cayman, Trusts), and SoW/SoF corroboration. Active ACAMS (CAMS) or equivalent professional AML certification required. Demonstrated experience in Quality Assurance (QA), process improvement, high-volume digital onboarding, and regulatory audit handling. Strong analytical, risk-adjudication, and leadership skills with meticulous documentation discipline. Proficiency in English and Chinese (Cantonese and/or Mandarin), with strong capability in reading and analyzing complex Chinese corporate and legal documents.
About Us Longbridge is an AIPowered online brokerage that serves global investors with optimal trading experiences through building worldwide trading infrastructure and networks. Established in March 2019, Longbridge holds 22 financial licenses and qualifications across the United States, Singapore, Hong Kong, New Zealand and other regions, having secured over US $150 million in strategic investments from major financial and investment institutions. Its subsidiary, Longbridge Securities (Hong Kong) Limited (CE No.: BPX066), holds Type 1, 2, 4, and 9 licenses issued by the Hong Kong Securities and Futures Commission (SFC) Job Summary The Wealth Management Operations Officer/Associate is responsible for the end-to-end operational support of structured products and hedge fund investments offered to wealth management clients, ensuring accurate trade booking, funds onboarding, lifecycle management, settlement, reconciliation, and regulatory compliance. The role works closely with Front Office, Investment/Product teams, Risk, Finance, Compliance, Custody, and external counterparties to ensure smooth execution and post-trade processing Job Responsibilities Transaction Support & Product Lifecycle Management • Support the execution of structured products and onboarding of hedge funds. • Maintain static data and investor records in internal systems. • Ensure timely trade verification and settlement of transactions. • Support ongoing lifecycle management of structured products and hedge funds. Operational Control & Compliance • Perform daily/periodic reconciliations between internal systems, custodians, and counterparties. • Investigate and resolve breaks, discrepancies, and failed settlements in a timely manner. • Maintain accurate records of positions, cash flows, and valuations. • Escalate operational risks, exceptions, or breaches promptly. • Assist with internal audits, external audits, and regulatory or management reporting. Stakeholder Coordination • Act as an operations liaison for Relationship Managers, Investment Advisors, and Product teams. • Coordinate with fund administrators, custodians and external service providers. • Respond to operational inquiries from internal stakeholders and, where required, clients. Process Improvement & Workflow Controls • Identify operational inefficiencies and propose process enhancements or automation. • Assist in system enhancements, UAT testing, and implementation of new products or platforms. • Contribute to the development and maintenance of standard operating procedures (SOPs) Requirements & Qualifications • Bachelor’s degree in Finance, Business, Accounting, Economics, or a related discipline. • 1-3 years of experience in operations, fund administration, or back office roles within wealth management, asset management, or fund services. • Good understanding of structured products and hedge fund structures. • Familiarity with trade lifecycle processes, settlement, custody, and cash management. • Experience with investment operations systems, fund administrators and custodians. • Willingness to learn new products and adapt to regulatory or business
1. ポジション概要 (Position Summary) Long Bridge Japanにおいて、責任者として、システム開発、運⽤管理、外部委託先の管理に加え、情報セキュリティリスクを含むシステムリスク管理業務を⼀貫して担当していただきます。Long Bridge グループ各社と連携しながら、当社のシステム領域全般 を横断的かつ継続的に推進していただくポジションです。 • システム開発管理や保守・運⽤確認 • セキュリティ対策の企画・実⾏、サイバー攻撃・障害への対応 • システムリスクの特定・分析・緩和策の実施およびガバナンス体制の強化 • インシデント管理と事業継続性確保に向けた各種施策の推進 • システム内製化の推進と、証券システムの安定稼働・継続的改善のリード 2. 職務内容 (Key Responsibilities) A. システム開発管理 • システム開発における要件定義、開発管理、運⽤確認まで⼀気通貫で担当 • 仕様書等ドキュメントの整理・最新化・保管管理、リスクアセスメントの実施・記録 B. システム企画 • ビジネス部⾨と連携し、システムの企画・検討を推進 • 戦略策定からプロジェクト管理まで幅広く携わり、マネジメントとしての役割を担当 C. 情報セキュリティ・サイバーインシデント対応 • インシデントの⼀次受付・記録と技術対応(原因分析・復旧調整) • 事故レベルの判定、漏えい・改ざん等の対応⼿順の実⾏・妥当性判断 • 関係当局(個⼈情報保護委員会、警察サイバー犯罪相談窓⼝、IPA 等)への報告対応・資料作成 • 脅威・脆弱性情報(IPA、JVN、JPCERT/CC、PPC 等)の定期収集・社内共有、分析・対応⽅針の策定 • 脆弱性診断・ペネトレーションテストの企画・実施管理、結果評価、社内研修・訓練の企画運営 • 不審メール等への対応・社内周知 D. インターネット取引の不正アクセス・不正取引対応 • 顧客への注意喚起・情報提供コンテンツの企画・作成 • 不正アクセス・不正取引の届出受付、被害状況確認、拡⼤防⽌措置の判断補佐 • 不正取引検知ルール・モニタリングの設計・運⽤、発⽣状況の分析・改善提案 E. システム障害対応 • 障害検知体制の運⽤、障害・変更通知の記録と第⼀報の伝達、影響範囲の⼀次切り分け • 重⼤障害対応のコーディネーションおよび復旧に関する技術判断 • システム障害報告書の作成、データ分析、再発防⽌策の⽴案 F. 外部委託先との連携 • 開発委託先(Longbridge グループ各社を含む)との連携・要件伝達、ミーティングの運営 • 委託先の業務遂⾏状況モニタリング、評価基準チェック、再委託状況の把握・リスク評価 • SLA・役割分担・BCP 連携に関する技術⽔準の検討・協議 G. BCP・危機対応の運⽤ • BCP 基準との整合性確認、危機発⽣時のオペレーション主導 • 年次訓練の企画・運営・記録作成、危機発⽣時の情報集約・技術対応 H. 内部監査・当局対応への協⼒ • 内部監査・システム監査への対応、技術資料の作成・説明 • ⾦融庁・JSDA 等への報告・照会対応における技術的説明・資料作成 3. 必要なスキル・経験 (Requirements) 必須(MUST) • システム開発から運⽤・管理までを⼀貫して担当した実務経験があること • 証券・銀⾏等の⾦融機関でのシステムリスク管理・セキュリティ実務経験を⽬安10年以上有していること • IT インフラ・ネットワーク・情報セキュリティに関する体系的な知識と、設計・運⽤・障害対応の実務経験 • システム障害・セキュリティインシデント発⽣時に、原因分析・切り分け・復旧調整を主体的に遂⾏し、技術的判断を⽰せること • ⾦融庁・JSDA 等の当局対応、監督指針・ガイドライン(システムリスク管理、サイバーセキュリティ等)に関する知⾒ • 委託先・ベンダーとの技術折衝、要件定義・変更管理の実務経験 • ⽇本語および英語でのコミュニケーション能⼒(グループ各社との技術資料・報告書作成を含む) 歓迎(WANT) • 情報処理安全確保⽀援⼠、CISSP、応⽤情報技術者等の資格 • 脆弱性管理、SOC 運⽤、SIEM/ログ分析、ベンダー管理、BCP 運⽤のいずれかの深い経験 • クラウド(AWS 等)環境のセキュリティ設計・運⽤経験 4. 求められる人物像 (Ideal Candidate Profile) • システム開発や運⽤といった「第1 線」での実務経験を保有しつつ、セキュリティ推進、品質管理(QA)、IT ガバナンスやコンプライアンスを担う「第2 線」の視点にも知⾒のある⽅ • 障害・インシデント発⽣時にも冷静に優先順位を判断し、技術的な裏付けを持って迅速に対応できる⽅ • 委託先、関係当局、社内の各業務部⾨など、様々なステークホルダーと円滑にコミュニケーションできる⽅ • アクセス権限管理やヘルプデスク対応といった⽇常の定型実務から、脅威分析・リスクアセスメントといった技術的な分析・企画まで、幅広い実務を主体的に遂⾏で きる⽅ • 顧客の資産とデータを預かる証券会社のインフラを⽀えるという責任感を持てる⽅ • 変化の速い環境の中で、柔軟かつ継続的に業務改善を提案できる⽅
This role is responsible for leading and managing the overall operations function of the online securities business in Japan. The position oversees account onboarding, account maintenance, securities settlement, corporate actions, cash management, and regulatory reporting, ensuring operational efficiency, regulatory compliance, and risk control. オンライン証券業務のオペレーション部門を統括する責任者として、口座開設、口座管理、証券決済、コーポレートアクション、入出金管理、レギュラトリーレポーティングなどの業務を統括し、業務の効率性、規制遵守、オペレーショナルリスク管理を確保します。 Key Responsibilities / 職務内容 Operations Management Oversee the overall operations of the securities business, ensuring stable and efficient daily operations. 証券業務におけるオペレーション全体の管理・運営を行い、安定した業務運営を確保する。Manage and supervise operational teams and processes to support business growth and service quality. 業務チームのマネジメントおよび業務プロセスの管理を通じて、事業成長とサービス品質向上を支援する。 Account Opening & Account Management Oversee client onboarding processes including KYC/AML procedures and account opening operations. KYC/AMLを含む口座開設業務の管理・監督を行う。 Manage account maintenance processes including client information updates and account administration. 顧客情報更新などの口座管理業務を統括する。 Securities Settlement & Corporate Actions Manage settlement operations for foreign equities, options, and other securities products. 外国株式・オプション取引等の決済業務を管理する。 Oversee corporate action processing such as dividends, stock splits, and other event processing. 配当、株式分割等のコーポレートアクション処理業務を統括する。 Cash Management & Fund Operations Oversee client fund operations including deposits, withdrawals, and reconciliation processes. 顧客資金に関する入出金管理および照合業務を統括する。 Ensure proper operational controls for client asset protection and regulatory compliance. 顧客資産保護および規制遵守の観点から適切な業務管理を確保する。 Regulatory Reporting & Compliance Support Oversee regulatory reporting processes required by Japanese financial regulators and self-regulatory organizations. 金融庁および自主規制機関へのレギュラトリーレポーティング業務を統括する。 Ensure operational compliance with regulatory requirements and internal control standards. 規制要件および内部統制に基づいた業務運営を確保する。 Operational Risk & Process Improvement Identify operational risks and implement risk mitigation and internal control measures. オペレーショナルリスクを特定し、適切なリスク管理および内部統制を実施する。 Drive operational efficiency through process optimization and system improvements. 業務プロセスの改善やシステム活用を通じてオペレーションの効率化を推進する。 Cross-Functional & Global Collaboration Work closely with product, technology, compliance, and global operations teams. プロダクト、IT、コンプライアンスおよび海外拠点と連携する。 Support cross-border operations and communication with global teams. 海外拠点との連携を通じてグローバルオペレーションを支援する。 Job Requirements / 応募資格 Bachelor’s degree or above. 学士号以上。 10+ years of experience in securities operations, preferably within online brokerage, securities firms, or financial institutions. オンライン証券会社または証券会社におけるオペレーション業務経験10年以上。 Strong knowledge of account opening, settlement operations, corporate actions, and securities operations processes. 口座開設、証券決済、コーポレートアクション、証券オペレーション業務に関する深い知識。 Experience managing regulatory reporting and operational compliance within the financial industry. 金融業界におけるレギュラトリーレポーティングおよびコンプライアンス対応経験。 Experience managing operational teams and improving operational processes. オペレーションチームのマネジメントおよび業務改善経験。 Business-level English proficiency to communicate with global teams. 海外拠点と業務連携が可能なビジネスレベルの英語力。 Preferred Competencies / 求める人物像 Strong leadership and team management skills チームマネジメント能力 Strong operational risk awareness and control mindset オペレーショナルリスク管理能力 Excellent communication with regulators, internal departments, and global teams 規制当局・社内各部門・海外拠点との調整能力 Detail-oriented with strong process management capability 業務プロセス管理能力および高い正確性
Responsibilities / 職務内容 1. 証券管理業務をご担当いただきます。 定型オペレーションに加えて、証券業務の実務理解をベースに、サービス導入や業務改善・業務構築まで幅広く携わっていただきます。 定型業務の例: ■口座開設や顧客情報の登録・変更業務 ■有価証券および顧客管理業務全般 ■帳票の作成・保管等。お客さまからお預かりしている有価証券等の残高証明書発行や取引履歴の調査等 ■注文~約定~決済~残高管理等(証券業務フローに関する運用・管理) ■有価証券の決済およびコーポレートアクション等に伴う事務対応 ■AML/KYCに係るモニタリング・スクリーニング業務 ■インシデント対応(検知・報告・調査等) ■システム変更時などにおけるUATや業務運用面でのプロジェクト対応 2. ビジネス各チームと密に連携し、新サービス導入においてオペレーション業務としての必要事項を整理・提供にチームとして取り組んでいただきます。 Job Requirements / 応募資格 証券会社におけるバックオフィス実務経験5年以上、および、個人向け証券会社での広範囲な業務の経験を有する方。 (例) 注文~約定~決済~残高管理などのフロー理解 / 制度変更やコーポレートアクションに伴う事務対応 / 証券管理や口座管理イレギュラー対応。業務改善、新サービス導入プロジェクトの経験をお持ちの方は尚可。 取引説明書・業務手順書などの作成経験のある方。 証券外務員第1種をお持ちの方。 学士号以上。 Officeツール利用、システム操作等の基本的なITリテラシーをお持ちの方。システムの開発や要件定義に関する基本的な知識があれば尚可。 英語もしくは中国語でのコミュニケーション能力があれば尚可。 7証券会社またはフィンテック業界での経験があれば尚可。 Character / 求める人物像 正確性とディテール志向:事務作業も多く、細部まで丁寧に作業ができる方。 チーム・コミュニケーション:チーム内はもちろん、国内外・社内外との円滑なコミュニケーションができ、報告・相談を適切に行える方。 業務の本質理解と柔軟性:定型業務にとどまらず、業務の背景・根拠を理解した上で、変化する制度・組織・業務に柔軟に対応し、新サービス導入や業務改善に前向きに取り組める方。 当事者意識とチャレンジ精神:会社の成長にやりがいを感じ、論理的思考で創意工夫しながらチーム一丸となって挑戦する意欲のある方。
Longbridge is a new-generation, AI-driven online brokerage on a mission to make investing smarter, simpler, and more accessible for everyone. Headquartered in Singapore, we are redefining the investment journey by connecting the stages of "Discovery → Learning → Trading." With our proprietary AI assistant, PortAI, and a cloud-native infrastructure, we provide retail investors with institutional-grade insights and a seamless global trading network. At Longbridge, you won’t just be working for a brokerage; you’ll be building the future of financial infrastructure. Responsibilities / 職務内容: Lead and manage strategic and cross functional projects for the Japan business,ensuring alignment with the Group’s overall strategy. 日本事業における戦略的プロジェクトおよび部門横断プロジェクトを主導し、グループ全体の戦略との整合性を確保する。 Support business leaders in translating strategic goals into actionable projectplans, coordinate across departments, and track project progress to ensure timely execution. 経営・事業部門の戦略目標を具体的なプロジェクト計画に落とし込み、各部門と連携しながら進捗管理を行い、計画通りの実行を推進する。 Facilitate cross-department collaboration by coordinating internal and external resources, identifying risks and bottlenecks, and driving timely resolution. 社内外のリソースを調整しながら部門横断の連携を促進し、プロジェクトにおけるリスクやボトルネックを特定・解決する。 Establish and continuously improve project management processes and governance frameworks suitable for the Japan business. 日本事業に適したプロジェクト管理プロセスおよびガバナンス体制の構築・改善行う。 Monitor project progress, key metrics, and operational performance throughout the project lifecycle, and provide regular status reports to stakeholders and management. プロジェクトのライフサイクル全体において進捗・主要指標・運用状況をモニタリングし、関係部署および経営陣に定期的に報告する。 Organize project reviews and post-implementation retrospectives, identify lessons learned, and promote best practices across teams. プロジェクト完了後のレビューを実施し、改善点やベストプラクティスを整理して組織内で共有する。 Support business teams in tracking project costs and evaluating project outcomes, including ROI analysis, to support future strategic decision-making. プロジェクトのコスト管理および ROI(投資対効果)分析を支援し、今後の事業戦略や意思決定に資する情報を提供する。 Job Requirements / 応募資格 Bachelor’s degree or above, with 5+ years of project management experience, preferably in the internet, fintech, or securities industry, including experience in business PMO or strategic projects. 学士号以上。5 年以上のプロジェクトマネジメント経験を有し、インターネット、フィンテック、証券業界での経験、または PMO/戦略プロジェクトの経験がある方。 Strong cross functional communication and coordination skills, with the ability to manage multiple stakeholders and projects simultaneously. 部門横断のコミュニケーション・調整能力が高く、複数の関係者・プロジェクトを同時に推進できる方。 Familiarity with mainstream project management methodologies such as Waterfall and Agile, and the ability to apply hybrid approaches depending on project needs. ウォーターフォールおよびアジャイルなどのプロジェクト管理手法に精通し、状況に応じて適切に活用できる方。 Experience with project management tools such as Jira, Microsoft Project, or similar tools, and the ability to configure workflows to support business operations. Jira、Microsoft Project 等のプロジェクト管理ツールの使用経験があり、業務に応じたワークフロー設計ができる方。 Business-level English proficiency and willingness to collaborate with global teams across different time zones. ビジネスレベルの英語を有し、海外拠点との時差を伴う業務に対応できる方。
About Us Longbridge is a new-generation, AI-driven online brokerage on a mission to make investing smarter, simpler, and more accessible for everyone. Headquartered in Singapore, we are redefining the investment journey by connecting the stages of "Discovery → Learning → Trading." With our proprietary AI assistant, PortAI, and a cloud-native infrastructure, we provide retail investors with institutional-grade insights and a seamless global trading network. At Longbridge, you won’t just be working for a brokerage; you’ll be building the future of financial infrastructure. Responsibilities: Manage the end-to-end delivery of product and engineering projects, including resource coordination, backlog prioritization, development progress tracking, release management, staged rollout, and post-release review, ensuring timely delivery of iteration goals and strategic initiatives. プロダクトおよび開発プロジェクトにおいて、リソース調整、Backlogの優先順位管理、開発進捗管理、リリース対応、段階的リリース(グレースケール運用)、およびリリース後の振り返りまで、プロジェクト全体の進行管理を担い、各イテレーションおよび重要プロジェクトの期限内完了を確保する。 Proactively identify potential risks and schedule constraints, communicate them in a timely manner, and work with relevant teams to develop mitigation and contingency plans. プロジェクトにおけるスケジュールやリスクを早期に把握し、関係チームと連携しながら適切なリスク管理および対応策の策定を推進する。 Work closely with product, engineering, and business teams to standardize project processes and tools, break down functional silos, and improve cross-functional collaboration efficiency. プロダクト、開発、ビジネス各チームと密に連携し、プロジェクト管理プロセスやツールの標準化を推進するとともに、部門間の連携を強化し、開発・プロダクトチームの協働効率を向上させる。 Build and maintain engineering metrics and project performance indicators, analyze development data, identify bottlenecks such as resource inefficiencies or process issues, and promote best practices across teams. 開発関連の指標およびプロジェクトデータを収集・分析し、リソースの非効率やプロセス上の課題を特定するとともに、改善施策およびベストプラクティスをチーム間で共有する。 Maintain resource planning and allocation visibility within the product and engineering teams to enable efficient and flexible resource utilization. プロダクト・開発チーム内のリソース計画および配分状況を管理し、透明性のあるリソース管理と柔軟な調整を実現する。 Collaborate with corporate and support functions to provide project-related data and reports, including development costs and resource utilization. コーポレート部門やサポート部門と連携し、開発コストやリソース投入状況などの各種データを整理・提供する。 Requirements: Bachelor’s degree or above, with 5+ years of experience in the software or technology industry, including at least 3 years of hands-on project management experience. 学士号以上。ソフトウェアまたはIT業界で5年以上の経験を有し、3年以上のプロジェクトマネジメント経験をお持ちの方。 Familiarity with mainstream project management methodologies such as Agile (Scrum) and Waterfall, with the ability to apply hybrid approaches depending on project needs. アジャイル(Scrum)およびウォーターフォールなどのプロジェクト管理手法に精通し、プロジェクトに応じて柔軟に活用できる方。 Experience with project management tools such as Jira, Feishu Projects, or similar tools, and the ability to independently set up workflows or project management frameworks. Jira、Feishu Projectsなどのプロジェクト管理ツールを使用した経験があり、業務に応じたワークフロー設計や管理体制の構築ができる方。 Strong communication and learning ability, capable of quickly understanding team structures, technical processes, and business requirements. 高いコミュニケーション能力および学習能力を有し、チーム構成や業務内容を迅速に理解できる方。 Business-level English communication skills preferred; experience in the securities or fintech industry is a plus. Ability to collaborate with global teams across time zones. 英語もしくは中国語でのコミュニケーション能力。証券会社またはフィンテック業界での経験があれば尚可。海外チームとの時差を伴うプロジェクトへの対応が可能な方。
Responsibilities / 職務内容 Handle customer inquiries via email, chat, and phone regarding account opening, deposits and withdrawals, and trading operations. 口座開設・入出金・取引操作に関するお客様からの問い合わせに、メール・対話・電話にて対応する。 Support and share knowledge with team members as needed. 必要に応じて、チームメンバーへの知識共有やサポートをおこなう。 Act as a point of escalation for complex or sensitive customer cases, ensuring appropriate resolution. 複雑または慎重な対応が必要な案件において、上位対応の窓口となり、適切な解決を図る。 Manage chatbot FAQ content, including creation, updates, and deletion, to ensure accuracy and relevance. 自動応答のよくある質問内容について、作成・更新・削除を担当し、内容の正確性と適切性を維持する。 Handle customer complaints and claims, document cases accurately, and report recurring issues to the relevant teams. お客様からの苦情や申し立てに対応し、案件を正確に記録するとともに、繰り返し発生する問題を関係部門に報告する。 Analyze customer feedback and quality data to identify areas for improvement and contribute to service quality enhancement. お客様からの意見や品質に関するデータを分析し、改善点を特定してサービス向上に貢献する。 Support internal training programs, including onboarding of new team members and ongoing skill development.新入社員の受け入れや継続的な能力開発を含む、社内研修の実施を支援する。 Contribute to the development and improvement of customer service processes in preparation for the Japan service launch. 日本向けサービス開始に向けて、顧客対応に関する業務の流れの整備・改善に貢献する。 Job Requirements / 応募資格 Bachelor's degree or above, with 3 to 5 years of customer service experience in the securities or financial industry. 学士号以上。証券・金融業界での顧客対応経験が3年以上5年以内の方。 Experience in supervising or mentoring staff is preferred. 社員の指導・育成経験があれば尚可。 Native-level Japanese language proficiency in both written and spoken communication. 日本語の読み・書き・会話において母国語に相当する水準を有する方。 Strong written communication skills, particularly in email and text-based customer interactions. 特にメールおよび文字による対話において、高い文章表現力を有する方。 Ability to handle customer complaints and difficult situations with empathy and professionalism. 苦情や困難な状況に対して、共感力と誠実さをもって対応できる方。 Experience working in a small team or startup environment is a plus. 少人数体制や立ち上げ期の環境での就業経験があれば尚可。 English proficiency is not required; however, basic reading ability for internal documentation is welcome. 英語力は必須ではないが、社内資料の読み取りができる程度の基礎力があれば歓迎する。
About Us Longbridge is a new-generation, AI-driven online brokerage on a mission to make investing smarter, simpler, and more accessible for everyone. Headquartered in Singapore, we are redefining the investment journey by connecting the stages of “Discovery → Learning → Trading.” With our proprietary AI assistant, Longbridge AI, and a cloud-native infrastructure, we provide retail investors with institutional-grade insights and a seamless global trading network. At Longbridge, you won’t just be working for a brokerage; you’ll be building the future of financial infrastructure. Key Responsibilities : CLIENT SERVICING Multi-channel enquiries : Handle client enquiries via phone, email, in-app chat and walk-in channels, covering account, trading, platform and general service-related matters. CS mailbox : Manage the dedicated CS mailbox and ensure enquiries are properly followed up and resolved within agreed service standards. Customer outreach : Support customer outreach requests from internal teams, ensuring timely and accurate follow-up with clients. Case records : Maintain accurate case records, client communications and follow-up actions in the relevant systems. COMPLAINT & ESCALATION MANAGEMENT Complaint handling : Handle client complaints and escalated cases, working with Operations, Compliance, Product, IT and other relevant teams where required. Service levels : Maintain expected service levels and turnaround times, including during peak periods, leave and other staff absences. AI CHAT QUALITY & KNOWLEDGE MANAGEMENT Daily quality checks : Conduct daily quality checks on AI-generated in-app Chat responses, identifying inaccurate, incomplete or outdated information and coordinating corrections with the relevant teams. Knowledge bank : Regularly review and update the CS knowledge bank used by the AI Chat, ensuring information remains accurate, current and aligned with product, operational and regulatory requirements. Continuous improvement : Identify recurring client issues and provide feedback to improve processes, FAQs, knowledge content and overall client experience. CS initiatives : Support CS initiatives, process improvements and other ad-hoc projects as required.
About Us Longbridge is a new-generation, AI-driven online brokerage on a mission to make investing smarter, simpler, and more accessible for everyone. Headquartered in Singapore, we are redefining the investment journey by connecting the stages of “Discovery → Learning → Trading.” With our proprietary AI assistant, Longbridge AI, and a cloud-native infrastructure, we provide retail investors with institutional-grade insights and a seamless global trading network. At Longbridge, you won’t just be working for a brokerage; you’ll be building the future of financial infrastructure. The Team The Compliance Team serves as the second line of defence, partnering with Marketing, Product, Business and Legal to ensure customer-facing activities comply with regulatory requirements and internal standards. We are looking for an experienced Compliance Manager – Marketing & Product Compliance to provide practical compliance advice across marketing campaigns, product launches and customer communications in a fast-paced online brokerage environment. Key Responsibilities Marketing & Product Compliance Review and approve marketing campaigns, advertisements, social media, website, email, push, SMS, in-app and other customer-facing materials. Advise Marketing, Growth, Product and Business teams on financial promotions, product claims, risk disclosures, disclaimers, incentives and fair dealing requirements. Review product disclosures, customer journeys, educational content and communications for regulatory and conduct risks. Provide compliance input on new products, trading features, digital experiences and customer acquisition initiatives. Review influencer, affiliate, referral and other third-party marketing activities where applicable. Compliance Monitoring & Advisory Conduct risk-based monitoring and thematic reviews of marketing, product disclosures and customer communications. Identify control gaps, compliance issues and conduct risks, and recommend remediation. Monitor regulatory developments and translate requirements into practical business guidance and controls. Support compliance policies, training, regulatory enquiries, audits and management reporting. Support investigations into marketing-related incidents and customer complaints with regulatory implications. Requirements Bachelor’s degree in Law, Finance, Business, Accounting or a related discipline. Minimum 5 years of relevant regulatory compliance experience, preferably within securities, digital wealth investment platform, bank or fintech. Strong knowledge of Singapore regulatory requirements, including the Securities and Futures Act (SFA), Financial Advisers Act (FAA), Securities and Futures (Licensing and Conduct of Business) Regulations (SF(LCB)R), Financial Advisers Regulations (FAR), MAS Notices and Guidelines, and relevant exchange rules. Strong experience reviewing financial promotions, marketing materials, digital campaigns, product disclosures and client communications. Experience advising Marketing, Product, Growth or Business teams in a regulated financial services environment. Understanding of retail investor communications, digital marketing and customer acquisition risks. Experience with compliance monitoring, thematic reviews and remediation. Strong regulatory interpretation, policy drafting and stakeholder management skills. Ability to translate complex regulatory requirements into practical and commercially viable business guidance. Strong attention to detail and ability to manage a high volume of fast-moving business requests. Excellent written and verbal communication skills in English. Mandarin is an advantage, particularly for reviewing bilingual marketing materials and communicating with regional stakeholders. Experience with digital brokerage, trading platforms, investment apps or fintech products is highly preferred. What We Offer An opportunity to build the compliance framework of a rapidly growing global online brokerage. Direct exposure to Compliance, Product, Marketing and Business stakeholders. Opportunity to work on innovative digital investment products and AI-enabled financial services.
About Us Longbridge is a next-generation social-oriented wealth management platform dedicated to redefining the investing experience for the digital age. Headquartered in Singapore, we combine cutting-edge financial technology with a vibrant social ecosystem to empower investors of all levels to navigate global markets with confidence. Founded by a team of veterans from top-tier technology and financial institutions, our mission is to make high-quality financial services more accessible, transparent, and collaborative. Our platform integrates real-time market data, institutional-grade trading tools, and a community-driven insights engine, allowing users to trade across major global exchanges including the US, Hong Kong, and Singapore. The Wealth Management Operations Associate is responsible for the end-to-end operational support of structured products and hedge fund investments offered to wealth management clients, ensuring accurate trade booking, funds onboarding, lifecycle management, settlement, reconciliation, and regulatory compliance. The role works closely with Front Office, Investment/Product teams, Risk, Finance, Compliance, Custody, and external counterparties to ensure smooth execution and post-trade processing. Job Responsibilities Transaction Support & Product Lifecycle Management • Support the execution of structured products and onboarding of hedge funds. • Maintain static data and investor records in internal systems. • Ensure timely trade verification and settlement of transactions. • Support ongoing lifecycle management of structured products and hedge funds. Operational Control & Compliance • Perform daily/periodic reconciliations between internal systems, custodians, and counterparties. • Investigate and resolve breaks, discrepancies, and failed settlements in a timely manner. • Maintain accurate records of positions, cash flows, and valuations. • Escalate operational risks, exceptions, or breaches promptly. • Assist with internal audits, external audits, and regulatory or management reporting. Stakeholder Coordination • Act as an operations liaison for Relationship Managers, Investment Advisors, and Product teams. • Coordinate with fund administrators, custodians and external service providers. • Respond to operational inquiries from internal stakeholders and, where required, clients. Process Improvement & Workflow Controls • Identify operational inefficiencies and propose process enhancements or automation. • Assist in system enhancements, UAT testing, and implementation of new products or platforms. • Contribute to the development and maintenance of standard operating procedures (SOPs). Requirements & Qualifications • Bachelor’s degree in Finance, Business, Accounting, Economics, or a related discipline. • 1–3 years of experience in operations, fund administration, or back office roles within wealth management, asset management, or fund services. • Good understanding of structured products and hedge fund structures. • Familiarity with trade lifecycle processes, settlement, custody, and cash management. • Experience with investment operations systems, fund administrators and custodians. • Willingness to learn new products and adapt to regulatory or business
About Us Longbridge Café is Asia's pioneering "Investing + Lifestyle" store, redefining traditional brokerages. Through specialty coffee, community events, and financial talks, it seamlessly integrates investing into everyday life for a new generation of modern investors. Role Summary As a Customer Experience Specialist at the Longbridge Café flagship store, you will provide warm, professional customer engagement and hands-on operational support, helping customers navigate and get comfortable with Longbridge's suite of financial products and services. Your goal is to build high-trust relationships, help customers get the most out of the platform, and drive business growth. You will act as the friendly, knowledgeable face within the café, delivering seamless onboarding support in a welcoming, lifestyle-oriented environment. Key Responsibilities Customer Onboarding & Platform Support Assist customers face-to-face with functional tasks, including registration, account opening, fund deposits, and platform navigation Engage with customers to understand their general interests and guide them toward relevant Longbridge products and features (this role does not provide investment advice or recommend specific securities) Relationship Management & Engagement Deliver exceptional customer service, resolving inquiries related to both the in-store experience and platform usage Foster long-term client loyalty through consistent follow-ups, helping customers discover more of what Longbridge offers Create a professional yet approachable service experience that aligns with the café's unique atmosphere Business Growth & Performance Management Achieve and exceed individual and team-based targets and KPIs (e.g. new account openings, customer engagement) Participate in regular performance reviews and contribute to strategies for service improvement Cross-Functional Collaboration Work closely with the Café/Barista team to ensure a smooth transition for guests from "coffee drinkers" to "platform users" Collaborate with the Store Manager and operations team to drive overall store success, focusing on user growth and high satisfaction scores Support in-store marketing campaigns and events to increase brand and product visibility Community Events & Brand Engagement Support and help host community events and in-store activations that introduce visitors to the Longbridge ecosystem Assist with general orientation content (e.g. how to use the app, platform features) — not personal finance or investment strategy guidance, which remains the responsibility of licensed staff Requirements Experience 1–3 years of experience in a customer-facing role, ideally within financial services, retail, hospitality, or banking Proven track record in client communication and service delivery, with the ability to engage confidently with a diverse customer base Experience in cross-departmental collaboration within a fast-paced environment Skills & Competencies Customer-Centric Mindset: Attentive to customer needs with a talent for tailoring the service experience accordingly Interpersonal Excellence: Able to build trust quickly with individuals from diverse backgrounds Cultural Fit: A passion for community engagement and the ability to thrive in a "casual-professional" environment (non-traditional banking) Education & Certifications Bachelor's degree or above, preferably in Finance, Economics, Business Administration, or a related field Other Requirements Flexibility to work shifts, including weekends and public holidays, in accordance with store operating hours A strong team player who contributes to a harmonious and high-performing work culture
About Us: Longbridge Café is Asia's pioneering "Investing + Lifestyle" store, redefining traditional brokerages. Through specialty coffee, community events, and financial talks, it seamlessly integrates investing into everyday life for a new generation of modern investors. About the Role: We're looking for enthusiastic, customer-focused university students to join our brand-new Longbridge Café at Guoco Tower as Part-Time Customer Experience Assistants. This is a non-licensed, store-support role — you'll be the friendly face welcoming guests into our café-meets-fintech space, while getting hands-on exposure to how a modern investing brand runs day-to-day. You'll work alongside our Store Manager and full-time staff to keep the store running smoothly and help visitors discover Longbridge's products and services. Key Responsibilities: Customer Reception Greet and welcome walk-in customers, providing warm, store-level reception and wayfinding Help maintain a great in-store experience for every visitor Account-Opening Support Work alongside full-time staff to support customers with app download, registration, and account-opening steps This role does not provide securities advice or perform any regulated securities activities — support is guidance-only, led by full-time staff Daily Operations Support day-to-day store operations, including floor upkeep, event support, and materials handling Assist with community events and in-store activations as needed Requirements Currently enrolled university student, available to work flexible part-time shifts Finance-related majors preferred (e.g. Finance, Economics, Business) Good communication and customer-service skills; presentable and personable Genuine interest in securities / investing / fintech, and willingness to learn about Longbridge's products Fluency in English required; Chinese proficiency a plus Employment Type: Part-Time
About Us Longbridge is a new-generation, AI-driven online brokerage on a mission to make investing smarter, simpler, and more accessible for everyone. Headquartered in Singapore, we are redefining the investment journey by connecting the stages of "Discovery → Learning → Trading." With our proprietary AI assistant, Longbridge AI, and a cloud-native infrastructure, we provide retail investors with institutional-grade insights and a seamless global trading network. At Longbridge, you won’t just be working for a brokerage; you’ll be building the future of financial infrastructure. Responsibilities: SESSION COVERAGE & EXECUTION Shift coverage: Cover the US pre-market, cash session, close and post-close window, five days a week, from 9pm to 6am. Order handling: Monitor order flow and execution quality throughout the session, and handle client orders and enquiries arriving during those hours. Handover: Take live handover from the mid shift at the start of the shift and hand over to the day desk at the end, with a written record of open items. PLATFORM STABILITY & ESCALATION Connectivity monitoring: Detect connectivity or platform disruption during US trading hours and escalate immediately, so issues are investigated the same night rather than surfacing the following morning after clients have been affected. Escalation: Escalate exceptions to the Head of Dealing, and to Risk and Operations where exposures or settlement are affected. Regional support: Support the other LongBridge entities through overlapping hours. CLIENT EXPERIENCE Order assistance: Assist clients in placing orders where needed. Record keeping: Maintain the order and exception log for the shift and ensure all client instructions are properly recorded. Qualifications: Bachelor’s degree or diploma in finance, business, economics or a related field. Minimum 3+ years of dealing experience at a licensed broker, with hands-on US market execution. Prior experience working a night or overnight dealing shift is an advantage. CMFAS modules—RES 1A, RES 2A, RES 5, CM-EIP, CM-SIP or CM-CMP, and CM-CIS—or legacy equivalents: Modules 1A, 2A, 5, 6, 6A, 8 and 8A. Ability to complete the applicable current modules promptly is required; active MAS appointed representative status is preferred. Working knowledge of US equities, options and listed futures, and of exchange and clearing mechanics. Familiarity with OMS/EMS platforms, market data feeds and order routing. Willing and able to work the night shift on a sustained basis. Calm and methodical under pressure, with the judgement to know when to escalate rather than wait. Clear written and spoken English; a second regional language is an advantage.
About Us Longbridge is a new-generation, AI-driven online brokerage on a mission to make investing smarter, simpler, and more accessible for everyone. Headquartered in Singapore, we are redefining the investment journey by connecting the stages of “Discovery → Learning → Trading.” With our proprietary AI assistant, Longbridge AI, and a cloud native infrastructure, we provide retail investors with institutional-grade insights and a seamless global trading network. At Longbridge, you won’t just be working for a brokerage; you’ll be building the future of financial infrastructure. Responsibilities: SETTLEMENT & TRANSACTION PROCESSING Multi-market settlement : Direct and supervise the daily processing of settlement (equities, options, CFD, unit trusts, MMF, IPO, and structured products), corporate actions, share/stock transfers, and client cash deposits, withdrawals, and conversions across SG, HK, and US markets, ensuring same-day cut-offs and regulatory timelines are consistently met. TEAM LEADERSHIP Team management : Manage a team of Operations Executives across settlement, corporate actions, transfer, and cash operations; allocate workload, build cross training and backup coverage, and eliminate single points of failure in time-critical functions such as same-day settlement and corporate-action deadlines during earnings season. CONTROLS, PROCEDURES & COMPLIANCE Control manuals & SOPs : Own and maintain the Operations Control Manuals and Standard Operating Procedures across all functions, ensuring maker-checker controls, escalation matrices, and risk-control measures stay current and aligned with regulatory requirements (SFA 2001, SFR(LCB)); maintain system configurations including market calendars, fee schedules, and processing thresholds. AML/CFT monitoring : Ensure AML/CFT monitoring is embedded in cash operations workflows, including transaction threshold monitoring and timely escalation of suspicious activity to Compliance, while maintaining segregation between transaction processing and monitoring sign-off. RECONCILIATION & REPORTING Reconciliation & reporting : Oversee daily custody/position reconciliation and daily/monthly regulatory and management reporting; ensure unresolved breaks and exceptions are escalated per the escalation matrix and evidenced for audit. PRODUCT SUPPORT & QUALITY CONTROL Product transition : Partner with the Head of Operations to convert newly tested products and procedures into business-as-usual operations, including team training and live SOP updates. Quality control : Provide quality-control, ensuring externally performed work remains within the firm's risk and control framework. ESCALATION & STAKEHOLDER MANAGEMENT Escalation point : Act as the point of escalation for complex client complaints, B2B counterparty issues, and exceptions unresolved at the executive level, escalating further to the Head of Operations where required.
About Longbridge Cafe Longbridge Café is Asia’s pioneering "Investing + Lifestyle" flagship store, redefining traditional investment experience .Through specialty coffee, community events, and financial talks, it seamlessly integrates investing into everyday life for a new generation of modern investors. About Role As a Customer Experience Specialist (Space Operations), you are the heartbeat and the "Ambassador of First Impressions" at the Longbridge Cafe flagship store. Moving away from traditional front-desk or retail roles, you will seamlessly blend premium hospitality with fintech brand advocacy. Your mission is to curate an impeccable, welcoming, and high-energy environment. You will manage day-to-day space operations, orchestrate community events, and engage with visitors—acting as the vital bridge that connects lifestyle cafe culture with Longbridge’s innovative financial ecosystem Key Responsibilities
The KYC Operation Team is responsible for supporting the firm's AML/CFT control framework, with a focus on customer onboarding, periodic review, and ongoing monitoring processes. The team works closely with Compliance, senior management, and internal stakeholders to ensure adherence to MAS regulations, exchange requirements, and internal policies, while maintaining effective controls over financial crime risks. The Role: This role sits within the Operation Team focusing on Customer Onboarding, Ongoing Monitoring and Periodic Review for retail, accredited investor, institutional clients. The successful candidate will play a key role in ensuring compliance with MAS Notice SFA04-N02, as well as internal AML/CFT policies, by performing robust due diligence and supporting the business in managing financial crime risks. Key Responsibilities: Conduct CDD reviews for new and existing clients (individual and corporate), in line with internal policies and MAS AML/CFT requirements (SFA04-N02) Engage clients directly or via Business/Operations teams to obtain required KYC information and supporting documents (e.g. KYC questionnaires, SoW/SoF) Perform name screening, transaction/activity reviews, and assess AML/CFT and sanctions risks Conduct Enhanced Due Diligence (EDD) for higher-risk clients (e.g. PEPs, high-risk jurisdictions) Escalate material risk concerns on a timely basis and support risk assessment decisions Provide advisory support to internal stakeholders on CDD/KYC requirements and documentation standards Mentor junior team members and support quality review processes Identify opportunities to enhance KYC processes, controls, and operational efficiency Requirements: • Degree in Business, Accountancy, Finance or a related field. • Minimum 3-5 years of relevant AML/KYC experience in financial institutions, preferably in capital markets / brokerage environment • Strong understanding of MAS Notice SFA04-N02 (AML/CFT for Capital Markets Intermediaries) and related regulatory requirement • Familiar with client onboarding for securities, derivatives, and investment products • Experience in handling high-risk clients, PEPs, and EDD cases • Familiarity with screening tools (e.g. World-Check, Dow Jones, Refinitiv) • Professional certification (e.g. ACAMS, ICA) is an advantage • Comfortable and fluent in both English and Mandarin (to support client onboarding and documentation review)
About Us Longbridge is a new-generation, AI-driven online brokerage on a mission to make investing smarter, simpler, and more accessible for everyone. Headquartered in Singapore, we are redefining the investment journey by connecting the stages of "Discovery → Learning → Trading." With our proprietary AI assistant, Longbridge AI, and a cloud-native infrastructure, we provide retail investors with institutional-grade insights and a seamless global trading network. At Longbridge, you won’t just be working for a brokerage; you’ll be building the future of financial infrastructure. Responsibilities: Daily Risk Monitoring Monitor daily margin financing exposure, collateral positions, concentration limits, and client leverage across multiple markets. Review client positions and identify abnormal trading activities, excessive leverage, or potential liquidation risks. Monitor margin utilization, financing limits, and exposure to individual securities, sectors, and markets. Perform daily monitoring of overnight risk exposure across global markets. Credit & Client Risk Conduct credit assessments for retail, high-net-worth (HNW), institutional, and corporate clients. Review and approve client credit limit applications and annual credit reviews. Assess client requests relating to margin financing, securities withdrawals, and fund withdrawals. Recommend appropriate credit limits based on client financial profiles and risk appetite. Market & Counterparty Risk Monitor market volatility and assess its impact on client portfolios and firm-wide exposure. Prepare stress testing and scenario analysis for equity, options, futures, FX, and fixed income portfolios. Monitor counterparty exposures and prepare periodic counterparty risk assessments. Analyze concentration risks on individual securities, sectors, exchanges, and counterparties. Product & Trading Risk Configure and maintain margin ratios, collateral eligibility, and risk parameters for newly listed securities, corporate actions, derivatives, and structured products. Review risk settings for equities, ETFs, options, futures, bonds, and other investment products. Monitor contract specifications including futures multipliers, option contract adjustments, and exchange announcements. Regulatory Reporting & Compliance Prepare and submit regulatory reports to MAS, SGX, and other applicable regulators within required timelines. Ensure compliance with internal risk policies, regulatory requirements, and risk governance frameworks. Support internal and external audits relating to risk management activities. Risk Analytics & Reporting Prepare daily, weekly, and monthly risk dashboards for senior management. Produce reports covering: Margin exposure, Client concentration, Security concentration, Counterparty exposure, Stress testing, Liquidity risk, Credit utilization Analyze emerging market events and recommend proactive risk mitigation measures. Process Improvement & Automation Collaborate with Product, Engineering, Operations, and Quant teams to enhance risk monitoring systems. Participate in developing automated risk controls, alert mechanisms, and risk dashboards. Continuously improve risk management processes and operational efficiency through automation and data analytics. Ad-hoc Projects Support new product launches by performing risk assessments. Participate in enterprise-wide risk initiatives, system enhancements, and special projects assigned by management. Requirements Bachelor's degree in Finance, Mathematics, Economics, Statistics, Engineering, Computer Science, or a related discipline. 3–5 years of experience in Risk Management within a brokerage, securities firm, investment bank, fintech, or financial institution. Strong understanding of: Margin financing, Equities, Options, Futures, Fixed Income products, Capital markets Familiarity with market risk, credit risk, liquidity risk, and operational risk concepts. Knowledge of MAS, SGX, or other securities regulatory requirements is highly preferred. Experience using Bloomberg, Refinitiv, Wind, or other market data platforms is advantageous. Strong analytical and problem-solving skills with excellent attention to detail. Proficiency in Excel and SQL; experience with Python, Power BI, Tableau, or other data visualization tools is an advantage. Ability to work independently in a fast-paced, technology-driven environment. Preferred Qualifications Experience in an online brokerage or digital wealth platform Experience supporting multi-asset products across global markets. Familiarity with automated risk monitoring systems and real-time risk controls. Professional certifications such as FRM or CFA are advantageous. What You'll Gain Opportunity to work in one of the fastest-growing digital brokerage firms. Exposure to global capital markets and multi-asset trading products. Hands-on involvement in building next-generation risk management systems. Collaborative environment with Product, Engineering, Quantitative Research, Trading, and Compliance teams. Career development opportunities in a high-growth fintech environment.
About Us Longbridge is a new-generation, AI-driven online brokerage on a mission to make investing smarter, simpler and more accessible for everyone. Headquartered in Singapore, we are redefining the investment journey by connecting the stages of “Discovery → Learning → Trading.” With our proprietary AI assistant, Longbridge AI, and a cloud-native infrastructure, we provide retail investors with institutional-grade insights and a seamless global trading network. At Longbridge, you won’t just be working for a brokerage; you’ll be building the future of financial infrastructure. The Team The Compliance Team serves as the second line of defence, partnering with Trading, Operations, Risk and Technology to oversee market conduct and trading risks. We are looking for an experienced Compliance Manager – Trade Surveillance to monitor trading activity, investigate potential market abuse and strengthen our surveillance framework. Key Responsibilities Trade Surveillance & Investigation Monitor trade and order activity and review surveillance alerts for potential market abuse. Investigate suspicious trading patterns, including insider dealing, manipulation, spoofing/layering, wash trades and coordinated trading. Analyse order, execution and account data and document investigation findings. Escalate material cases and recommend appropriate remediation or enhanced monitoring. Surveillance Framework & Technology Enhance surveillance scenarios, thresholds and alert logic, including periodic tuning and effectiveness reviews. Partner with Technology, Data and Trading teams on surveillance systems, data quality and new surveillance capabilities. Regulatory Compliance & Advisory Monitor regulatory developments relating to market conduct and trading activities. Advise relevant teams on market conduct and surveillance requirements. Support compliance reporting, audits, regulatory inspections and enquiries. Requirements Bachelor’s degree in Law, Finance, Business, Accounting, Economics or a related discipline. Minimum 5 years of relevant trade surveillance, market surveillance, market conduct or trading compliance experience, preferably within a brokerage, securities firm, investment bank, exchange or trading platform. Strong understanding of Singapore regulatory requirements relating to securities trading and market conduct, including the Securities and Futures Act (SFA), MAS Notices and Guidelines, and relevant exchange rules. Strong knowledge of market abuse and market manipulation typologies. Hands-on experience with trade/order surveillance, alert review, investigation and case management. Experience developing, reviewing or tuning surveillance scenarios and detection rules is preferred. Strong understanding of order lifecycle, trade execution and securities market structure. Experience working with trading/order data and surveillance systems. Strong analytical and investigative skills with excellent attention to detail. Ability to exercise independent judgement when assessing potential market abuse and determining appropriate escalation. Mandarin is an advantage for reviewing trading activity and communicating with regional stakeholders. Experience with an online brokerage, retail trading platform or technology-driven securities business is highly preferred. What We Offer Opportunity to build and enhance the market surveillance framework of a rapidly growing global online brokerage. Exposure to technology-driven retail trading activities across multiple markets.
About Us Longbridge is a new-generation, AI driven online brokerage on a mission to make investing smarter, simpler, and more accessible for everyone. Headquartered in Singapore, we are redefining the investment journey by connecting the stages of “Discovery → Learning → Trading.” With our proprietary AI assistant, Longbridge AI, and a cloud native infrastructure, we provide retail investors with institutional-grade insights and a seamless global trading network. At Longbridge, you won’t just be working for a brokerage; you’ll be building the future of financial infrastructure. Responsibilities: Process daily trade settlement across assigned markets/products within same-day cut-off times. Process corporate action notifications, elections, and entitlements, including during high volume earnings periods. Handle incoming/outgoing share transfers, including counterparty follow-up and matching. Process client deposits, withdrawals, and currency conversions, including exception handling. Perform daily trust account and custody/position reconciliation; escalate unresolved breaks. Monitor transactions for AML/CFT red flags and escalate as necessary. Act as day-to-day contact point for clients/counterparties; log and triage complaints. Prepare accurate daily/monthly operational and regulatory reports. Maintain transaction records and documentation for audit readiness.
About Us Longbridge is a new-generation, AI-driven online brokerage on a mission to make investing smarter, simpler, and more accessible for everyone. Headquartered in Singapore, we are redefining the investment journey by connecting the stages of "Discovery → Learning → Trading." With our proprietary AI assistant, Longbridge AI, and a cloud-native infrastructure, we provide retail investors with institutional-grade insights and a seamless global trading network. At Longbridge, you won’t just be working for a brokerage; you’ll be building the future of financial infrastructure. Key Responsibilities: Develop deep insight into the Singapore market; plan and execute user-growth-oriented marketing initiatives. Orchestrate internal and external resources, manage key milestones and delivery quality, with a strong results-driven mindset. Identify, engage and negotiate with financial communities, KOLs, ecosystem and channel partners; structure commercially viable partnership models aimed at acquiring high-quality clients and building long-term, repeatable growth pipelines. Produce and quality-control investor-facing content on equities&options (market trends, product features, investor education), ensuring it is professional, credible and locally relevant. Analyze campaign performance across reach, acquisition and conversion; complete attribution and distill learnings to drive strategy iteration and execution optimization. Continuously track industry developments and local trends to keep the platform's marketing strategy innovative and sharp. Requirements 5+ years of experience in marketing, growth or partnership development, with hands-on BD negotiation experience; strong understanding of the Singapore market and local investor segments. Knowledge of US, HK and SG equity markets, an active investor personally or with relevant industry experience; able to conduct in-depth negotiations with partners, with strong commercial acumen and the ability to evaluate partnerships from strategic, financial and operational perspectives. Solid marketing fundamentals: market strategy, campaign planning, content judgment, project management and performance analysis. Highly self-driven, able to operate independently in a fast-paced, cross-border environment; results-oriented. Fluent in English; basic Mandarin communication skills (for regional collaboration). Preferred: a proven track record of independently sourcing and landing external partnerships (KOL, channel or ecosystem); management experience; industry background in online brokerage, fintech, wealth management or financial media.
About the Role Longbridge is looking for a Lifecycle Marketing Manager to own the full lifecycle journey — from first activation to long-term loyalty — while building an authentic, engaged community around our brand. This is an exciting hybrid role: part lifecycle marketer, part community builder, part storyteller. You'll design the systems that move users from sign-up to funded, active, retained customers, and you'll create the content — including video — that gives our most engaged users a reason to stick around and advocate for us. You'll sit at the intersection of Growth, Product, and Content, working closely with Data and Marketing Ops to turn behavioral insight into lifecycle strategy, and with Social and Performance teams to make sure users move seamlessly from acquisition into engagement and retention. What You'll Do Lifecycle Strategy & Execution Drive user growth across the full customer lifecycle — activation, onboarding, engagement, retention, loyalty, and reactivation across key owned channels, including email, push, in-app messaging, and notifications Conduct segmentation analysis to identify distinct user groups by behavior, funding status, and engagement level, and build tailored lifecycle strategies for each Design and optimize onboarding and activation flows to accelerate time-to-value and increase conversion to funded and/or paid users Partner with Product, Data, and Marketing Ops to define lifecycle triggers, segmentation, personalization, and experimentation frameworks Lead A/B testing and iterative optimization of lifecycle journeys based on behavioral insights and performance data Measure and report on lifecycle KPIs — activation rate, retention, reactivation, LTV, and contribution to overall acquisition efficiency Community & Content Design strategies to attract new users and convert them to funded accounts through email marketing, community building, and content creation Create and edit video content — including ongoing video series — that engages users, builds trust, and brings the brand to life across channels Collect user insights and feedback, and share them with Product and Marketing teams to inform business decisions Identify super-users and partners who can organically advocate for and amplify the brand What We're Looking For 4+ years of experience in lifecycle marketing, growth marketing, or community management, ideally in fintech, consumer tech, or a high-growth app-based product Proven experience designing and executing lifecycle campaigns (email, push, in-app) with measurable impact on activation, retention, or conversion Strong skills in customer segmentation — able to break down a user base into meaningful segments and build tailored strategies for each, rather than applying a one-size-fits-all approach Comfortable working with data — able to define KPIs, read performance dashboards, and translate behavioral insight into action, alongside data and marketing ops teams Strong community instincts — you know how to find, engage, and mobilize a brand's most passionate users Excellent written and verbal communication skills; comfortable working cross-functionally with Product, Data, Social, and Performance teams Nice to Have Knowledge of personal finance, investing, or trading — a huge plus Confident creating and editing video content independently — comfortable being on camera, scripting, filming, and editing a recurring video series with minimal support Familiarity with lifecycle/marketing automation tools (e.g., Braze, Iterable, or similar)
About Us LONGPORT Whale provides institutional-grade trading solutions for brokers, banks, family offices, and other institutions with trading services. The platform delivers comprehensive access to multi-market, multi-asset trading through a single integrated system. Responsibilities Handle post-implementation broker and Wealth Management support, as well as daily system operation tasks, ensuring stable and efficient performance of trading systems Provide operational guidance and functional explanations to brokers, including trading workflows, settlement procedures, and system functionalities Independently identify, categorize, and assess issues; determine responsible modules and coordinate with Product, IT, and PM teams to ensure timely resolution Monitor system processes, detect anomalies, and coordinate internal teams for effective issue resolution Support troubleshooting of system-related and business-related issues covering Hong Kong and U.S. equities, account opening, funding, corporate actions, IPO and app usage Assist in incident handling, including root cause tracking, documentation and follow-up with stakeholders Collaborate with cross-functional teams (e.g. IT, Product) to enhance service efficiency and process improvements Utilize intelligent customer service tools and internal systems to enhance response efficiency and service quality Support audit, risk management and compliance requirements Willing to work on weekend if needed Assist in other ad-hoc duties as assigned Requirements Bachelor's degree or above Finance, Business, Information Systems, or related disciplines Minimum 3 years' of experience in brokerage, wealth management or trading system operations Candidates with a background or strong understanding of the Wealth Management business is an advantage Strong communication and coordination skills with cross-functional teams Good analytical and problem-solving abilities, with attention to detail Good command of both spoken and written English and Chinese (including Cantonese and Mandarin)
About Us LONGPORT Whale provides institutional-grade trading solutions for brokers, banks, family offices, and other institutions with trading services. The platform delivers comprehensive access to multi-market, multi-asset trading through a single integrated system. Responsibilities Responsible for the delivery and implementation of securities systems for Hong Kong brokerage clients, including installation, configuration, testing and go-live support Coordinate project resources, develop project plans, track project progress and ensure on-time delivery Provide technical support related to the Hong Kong securities market, including technical integration with the Hong Kong Stock Exchange (HKEX) Gain an in-depth understanding of the securities system's fundamental framework and assist clients in completing system go-live Maintain efficient communication with clients and internal teams (technical, product, etc.) to ensure smooth project execution Troubleshoot issues encountered during project implementation, manage project risks and improve client satisfaction Assist in other ad-hoc duties as assigned Requirements Bachelor’s degree holder or above, preferably in Computer Science, Information Technology, Financial Engineering or related fields Minimum 3 years’ of project management experience, with work experience in Hong Kong brokerage firms or related to securities systems preferred Holder of PMP certification is an advantage Familiarity with the foundational framework of securities systems, system go-live processes, and a good understanding of the Hong Kong securities market and HKEX connectivity Good communication skill, capable of seamless communication with clients and teams Strong organizational, problem-solving and stress management skills Excellent command in written and spoken English and Chinese (including Cantonese and Mandarin) Candidates with less experience will be considered as Assistant Project Manager
About Us LONGPORT Whale provides institutional-grade trading solutions for brokers, banks, family offices, and other institutions with trading services. The platform delivers comprehensive access to multi-market, multi-asset trading through a single integrated system. Responsibilities Identify and develop new business opportunities and leads to an increase in the client base by providing professional customer services Develop and maintain relationships with assigned customers and potential new accounts to generate recurring businesses Responsible for Business Development, Account Servicing and Marketing Activities Responsible for end-to end account management, solution sales and project coordination to cater for customers’ Fintech requirements Assist in other ad-hoc duties as assigned Requirements Diploma holder or above in any disciplines Minimum 3 years of experience in financial services, fintech, banking, embedded finance, digital assets, or related industries Experience in Wealth Management firms is highly preferred Proven track record of driving business development, revenue growth, and client acquisition in international markets Knowledge in SaaS Solutions / Cloud Solutions is an advantage Strong desire to learn with enthusiasm in Fintech area Excellent team player and enjoy working with others Presentable and strong in building up relationship Excellent interpersonal and communication skills Excellent command in written and spoken English, good command in spoken Chinese is preferred
About Us Longbridge offers an AI-Powered online brokerage platform for global investors, leveraging technology and a robust trading infrastructure to facilitate access to markets. Longbridge Securities was founded in March 2019 and is headquartered in Singapore. The company holds 22 financial licenses and qualifications across the United States, Hong Kong, Singapore and other regions, having secured over USD150 million in strategic investments from major financial and investment institutions. Its subsidiary, Long Bridge Securities Pte. Ltd. is licensed and regulated by the Monetary Authority of Singapore (MAS) under Capital Markets Services Licence (Licence No. CMS101211), and operates as an Exempt Financial Adviser. Responsibilities Handle post-implementation broker and Wealth Management support, as well as daily system operation tasks, ensuring stable and efficient performance of trading systems Provide operational guidance and functional explanations to brokers, including trading workflows, settlement procedures, and system functionalities Independently identify, categorize, and assess issues; determine responsible modules and coordinate with Product, IT, and PM teams to ensure timely resolution Monitor system processes, detect anomalies, and coordinate internal teams for effective issue resolution Support troubleshooting of system-related and business-related issues covering Hong Kong and U.S. equities, account opening, funding, corporate actions, IPO and app usage Assist in incident handling, including root cause tracking, documentation and follow-up with stakeholders Collaborate with cross-functional teams (e.g. IT, Product) to enhance service efficiency and process improvements Utilize intelligent customer service tools and internal systems to enhance response efficiency and service quality Support audit, risk management and compliance requirements Assist in other ad-hoc duties as assigned Requirements Bachelor's degree or above Finance, Business, Information Systems, or related disciplines Minimum 3 years' of experience in brokerage, wealth management or trading system operations Candidates with a background or strong understanding of the Wealth Management business is an advantage Strong communication and coordination skills with cross-functional teams Good analytical and problem-solving abilities, with attention to detail Good command in English and Chinese (desired) to collaborate with stakeholders in Greater China region
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