About Us
About Us | ZANJS
GLOBAL VISION, TRADITIONAL EXPERTISE
Our Leadership Philosophy
The core team of ZANJS Securities Ltd consists of professionals from top Wall Street institutions, each possessing 15–30 years of industry experience. Our leadership collectively established the three cornerstones of the company: global expansion, traditional financial stability, and a modern technology system.
Established in 2021 , we are a full-function securities institution headquartered in the heart of the New York financial district. ZANJS consistently upholds the foundational principles of “traditional financial stability” and a “modern intelligent trading architecture”.
Leveraging Director Alden Whitford’s expertise in risk management , CEO Carson Marwood’s strategy in global expansion, and CTO E.J. Langston’s technological leadership in ultra-low latency trading systems , we are committed to providing clients with a trustworthy, highly transparent, and professionally executed international investment experience.
Our Vision
At ZANJS, we envision a future where global wealth is not only preserved and grown but is done so with intelligence, transparency, and full compliance. We aim to become a globally trusted brand in cross-border wealth management by aligning strategic discipline, regulatory expertise, and technology-driven innovation.
We believe that modern wealth management must go beyond basic financial returns. It must offer clarity, control, and continuity, allowing clients to plan confidently, act decisively, and transfer assets across generations without compromise. Furthermore, we are dedicated to helping clients become smarter, more professional, and more independent through our Investor Education Division.
Our Core Values
A Culture of Integrity and Compliance
ZANJS’s compliance culture is not just a set of controls—it is embedded into our operational DNA. We follow a zero-tolerance approach to legal and ethical breaches and continuously update our compliance systems in line with evolving international standards. The company launched with $50 million in registered capital, headquartered in the New York financial district.
Our core compliance and security elements include:
- U.S. Core Regulation: A full-fledged securities institution holding both U.S. Securities and Exchange Commission (SEC Registration) and a Financial Crimes Enforcement Network (FinCEN MSB License).
- Segregated Asset Custody: Client assets are segregated from company operations and fully custodied with U.S. licensed banks and clearing networks, serving as the primary foundation of our three-tiered security model.
- Strict AML Controls: Implements SEC Standard AML/KYC security mechanisms, including daily trade review and automated risk flagging systems.
- Cross-Border Compliance: The Chief Compliance Officer (CCO) ensures that every service and cross-border clearing operation complies with regulatory requirements across 32 countries.
- Data Security and Encryption: The entire process from order placement to settlement features traceable end-to-end encrypted records and transaction audit trails.
All our advisory activities are reviewed under a dual compliance protocol—ensuring alignment with both U.S. and European regulatory frameworks.
Our Mission
Our mission is to provide legally sound, operationally efficient, and intellectually robust financial advisory services to high-net-worth individuals, family offices, and institutional investors. We achieve this by combining the traditional stability of finance with a modern intelligent trading architecture.
We are focused on:
- Preserving and growing capital across market cycles.
- Structuring globally compliant portfolios across jurisdictions.
- Providing full-cycle investment support—from allocation to ultra-low latency execution.
- Delivering advisory transparency through the Investor Education Division.
- Empowering clients by increasing their financial literacy and independence.
We are here to help clients build wealth that is intelligent, resilient, and globally mobile.