Financial Advisor Trainee - Raymond James

Union Savings BankDanbury, CT
8d

About The Position

The Financial Advisor Trainee will provide client servicing assistance including trading when appropriate, clerical, organizational and administrative assistance to the Wealth Management, Raymond James and Trust Department of Union Savings Bank. This individual's career goal will be to eventually transition into a Financial Advisory role. Administrative Greet clients and prospective clients on the phone and in the office in a professional and genial manner. Follow and fully support Quality Service Standards with customer service, written communications, telephone etiquette and customer service inquiries, both internal and external. Provide prompt assistance to clients with regards to answering operational and administrative questions, and in response to requests from clients for documents, forms, prospectuses, statements, etc. Establish new account files and maintain existing customer files in accordance with Wealth Management Department and Raymond James’ compliance requirements. Perform clerical duties including answering the telephone, faxing documents, filing, photo-copying and typing correspondence. Maintain office supplies and equipment for all financial advisors including: inventory management, ordering and arranging for repairs. Process all incoming mail Maintain and actively update monthly sales and contact reports. Sales Assistance Make outbound calls to obtain appointments and sales opportunities for Financial Advisors. Screen bank branch referrals for proper placement to Financial Advisors. Listen for new sales opportunities for Wealth Management and bank services in interactions with clients and prospects. Prepare new account or account servicing documents for accounts held through Raymond James or accounts held directly with a fund or insurer. Act as liaison for Financial Advisors and outside vendors for creating and servicing direct accounts or insurance products. Compliance Maintain the Raymond James branch compliance files and stay current on compliance issues and updates issued by Raymond James. Assist with preparing for and responding to branch audits. Manage and maintain account linking function for Mutual fund and annuity assets held elsewhere. Remain current in all CE requirements including but not limited to RJ AML, OBA, and USB BVS assignments. Respond to RJ "Action Required" alerts. Account Maintenance Administer and process money receipts, and the disbursement of funds, including check disbursements, wire transfers, and ACH transfers for customers. This includes the processing RMD’s for clients’ IRA’s. Track all client interactions in Customer Relationship Management (CRM) system. Prepare client presentations and materials as needed by Financial Advisors. Update client files as needed. Manage and maintain account linking function for Mutual fund and annuity assets held elsewhere. Monitor and implement all procedural changes for compliance reviews. Must be registered with Series 7, 63/65, or 66 OR must be willing to obtain within 1 year of hire

Requirements

  • Must be registered with Series 7, 63/65, or 66 OR must be willing to obtain within 1 year of hire

Responsibilities

  • Provide client servicing assistance including trading when appropriate
  • Provide clerical, organizational and administrative assistance
  • Greet clients and prospective clients
  • Follow and fully support Quality Service Standards
  • Provide prompt assistance to clients
  • Establish and maintain customer files
  • Perform clerical duties
  • Maintain office supplies and equipment
  • Process all incoming mail
  • Maintain and actively update monthly sales and contact reports
  • Make outbound calls to obtain appointments and sales opportunities
  • Screen bank branch referrals
  • Listen for new sales opportunities
  • Prepare new account or account servicing documents
  • Act as liaison for Financial Advisors and outside vendors
  • Maintain the Raymond James branch compliance files
  • Assist with preparing for and responding to branch audits
  • Manage and maintain account linking function
  • Remain current in all CE requirements
  • Respond to RJ "Action Required" alerts
  • Administer and process money receipts, and the disbursement of funds
  • Track all client interactions in Customer Relationship Management (CRM) system
  • Prepare client presentations and materials
  • Update client files as needed
  • Monitor and implement all procedural changes for compliance reviews
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