Browse 21 exciting jobs hiring in Sec+ now. Check out companies hiring such as McGraw Hill, FutureSight, CDW in Oxnard, Anchorage, Chicago.
McGraw Hill is hiring a Senior Equity Administrator to oversee global equity plans, process awards, and support executive compensation initiatives in a remote U.S. position.
FutureSight is looking for a founding CEO to lead an AI compliance SaaS venture, build product and team, win pilots with RIAs and broker-dealers, and raise the seed round.
Senior VMware SME with an active DoD Secret clearance to provide VCF infrastructure design, virtualization engineering, vendor liaison, and operational support for CDW’s San Diego customer engagements.
Rho is looking for a detail-oriented Treasury Operations Specialist to own cash positioning, trade settlement, reconciliations, and regulatory operations while partnering with Engineering and Compliance to scale treasury automation.
Robinhood seeks an experienced Technical Accounting Manager to lead technical accounting guidance, policy development, and complex transaction accounting across its Chicago, Menlo Park, or New York offices in a hybrid, fast-paced environment.
Manulife/John Hancock is hiring a Marketing Manager to oversee end-to-end print production and manage fund event communications in a regulated financial services setting.
An analytically rigorous role focused on translating banking and market regulations into capital, margin, and liquidity methodologies and supervisory-ready analytics for a regulated crypto banking platform.
Eurofins PSS is hiring a Bioconjugation Scientist to design and characterize ADCs using state-of-the-art conjugation, purification, and analytical techniques in support of discovery and development programs.
Experienced technical accounting professional needed to lead complex GAAP research, support SEC reporting, and collaborate with auditors to ensure accurate financial reporting at a high-growth AI company.
Senior legal leader sought to own corporate governance, SEC reporting and equity programs for Unity’s public-company legal function in New York or San Francisco.
Provide fractional Chief Compliance Officer expertise to alternative asset managers and family offices on a project basis, delivering regulatory guidance, program design, and examination readiness.
Arootah is hiring a fractional Chief Information Security Officer to advise alternative asset managers and family offices on comprehensive cybersecurity strategy, compliance, and incident readiness.
SeatGeek seeks an experienced Senior Corporate Counsel to lead corporate governance, securities compliance, equity plan and strategic transaction work for a late-stage private technology company operating with a flexible hybrid/remote model.
Lead a venture-backed AI RegTech startup as Founding CEO—build the product, run pilots and pricing, raise seed capital, and scale a compliance automation platform for SEC- and FINRA-regulated firms.
Experienced bioconjugation scientist sought to develop and characterize ADCs and conjugation workflows at Eurofins PSS in Louisville, CO.
Drive executive compensation strategy and manage equity administration for a major media company, partnering with senior leadership and cross-functional teams to ensure governance, compliance, and competitive programs.
Lead financial reporting automation projects at Riveron, driving Workiva implementations and process improvements to deliver compliant, efficient reporting solutions for public and private clients.
Lead SEC reporting and technical accounting at Freshworks' San Mateo HQ, driving accuracy, compliance, and automation across external filings for this public SaaS company.
Bristol Myers Squibb is hiring an Executive Director to lead its Technical Accounting Center of Excellence, driving global accounting policy, complex-transaction guidance, and SEC reporting quality.
An experienced financial reporting professional is sought to manage GAAP and SEC reporting, SOX controls, and audit support for Longbridge across in-office, hybrid, or remote work arrangements.
Lead and scale Crux’s securities compliance program across broker-dealer and RIA operations, serving as the primary regulatory liaison and owner of supervisory, testing, and filing obligations.