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Senior Accounting Officer, USD Clearing - Term Position

Bank of Nova Scotia - Toronto

Posted Jun 12, 2026

Benefits

Parental leave
Not verified
Non-birth-parent leave
Not verified
Family-building benefits
  • Fertility benefits: Not verified
  • Adoption assistance: Not verified
  • Surrogacy assistance: Not verified
Mental health support
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Relocation assistance
Not verified
Childcare support
Not verified
Learning budget
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Verification
Not verified checked Jun 7, 2026
Salary
Not verified
401(k) match
Reported from DOL Form 5500 industry filing (not employer-specific)

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Market context

U.S. role benchmark (BLS OEWS)
$106,409 U.S. median for this role
Projected growth (BLS Employment Projections)
+7.7% - Faster than average

Matched to SOC 13-2011 - Finance aggregate by role bucket.

Source: U.S. Bureau of Labor Statistics, OEWS, May 2024 and Employment Projections, 2024-2034.

Role

Role function
Finance From the posting source
Seniority
Senior From the posting source

Schedule

Shift type
Not verified
Weekend work
Not verified

Company

Equity
Offered From the posting source

Application

Cover letter
Not verified
Assessment
Not verified
Deadline
Not stated

Where they hire

State eligibility is not yet verified.

About this role

Senior Accounting Officer, USD Clearing - Term Position Toronto Requisition ID: 263399 Join a purpose driven winning team, committed to results, in an inclusive and high-performing culture. The Senior Accounting Officer, US Clearing provides support to balance all US Market trades across all business lines, ensuring that appropriate trading groups are notified and aware of discrepancies, and to have them resolved in a timely manner. Process trade corrections in a timely manner. Work as part of a team providing back up and support for all functions within the Contracts and Derivatives Clearing Department. Assume new roles and responsibilities as assigned, driven by new and changing business requirements. This is a 12 month term position. Is this role right for you? In this role you will: Perform daily trade and position reconciliations across internal systems (e.g., Broadridge) and external clearinghouses (DTCC, NSCC) ensuring all US listed market trades are accurately matched Investigate breaks and discrepancies by analyzing transaction flow, settlement entries, accounting entries, and system interfaces Ensure all internal accounts are balanced and cleared in a timely manner, escalate unresolved items as needed Collaborate with internal teams to resolve discrepancies Maintain a strong understanding of clearing workflow and settlement cycles across equity products Contribute to team knowledge sharing and training, supporting cross-functional initiatives including but not limited to derivatives clearing, PS edit desk, CAD clearing desk, tra

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