Trade Engineer, Brooklyn

TIAANew York, NY
$145,000 - $200,000Onsite

About The Position

Design, build, and operate the systems at the heart of our trading platform. Build highly robust and efficient execution systems, reconciliation pipelines, and data infrastructure that connects portfolio rebalancing, order routing, and post-trade workflows. Write production code, partner closely with portfolio managers, quants, and trading operations, with accountability for the performance and correctness of the systems.

Requirements

  • Minimum of 2+ years of software engineering experience building reliable and efficient trading systems
  • Strong software engineering fundamentals: version control, code review, testing, and Unix/Linux systems

Nice To Haves

  • 3+ years of software engineering experience
  • Strong proficiency in C#, Python, and optionally Rust or C++
  • Solid grasp of concurrency, memory management, and performance profiling
  • Experience building and operating production backend services and APIs (REST and/or streaming)
  • Working knowledge of PostgreSQL and SQL for trading and market data
  • Experience with event-driven architectures and message queues
  • Experience with AWS, Docker, and CI/CD pipelines
  • Familiarity with Infrastructure-as-Code (CDK/Terraform) and observability tooling (Datadog)
  • Experience in equities trading, algorithmic execution, and transaction cost analysis
  • Familiarity with real-time market data APIs (Polygon, Bloomberg, Reuters)
  • Understanding of portfolio management, trade reconciliation, and custodial operations
  • Meticulous attention to detail when operating systems that handle real capital
  • Background in fintech, asset management, or a quantitative trading environment

Responsibilities

  • Design, build, and maintain trading systems across C#, Python, and Rust
  • Develop low-latency order management and execution services, including pre- and post-trade checks, order generation, and algo selection
  • Build and optimize reconciliation pipelines that certify account status and surface breaks against custodial and internal data
  • Integrate with execution venues, custodians, and market data providers via FIX and APIs
  • Build and optimize data pipelines connecting custodial data, security master databases, and real-time market data feeds
  • Contribute to systems for monitoring, alerting, and observability to track execution quality and system health, and act on what the data reveals
  • Investigate and remediate issues across trade execution, allocation, and account positions, often under time pressure during market hours
  • Build internal services and assist in building UI components for managing trading workflow.
  • Write comprehensive unit and integration tests, and uphold engineering best practices around code review, CI/CD, and deployment safety

Benefits

  • superior retirement program
  • highly competitive health, wellness and work life offerings
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