Financial Advisor - Pinellas Market

GTE FinancialTampa, FL
69dHybrid

About The Position

Come join our GTE Financial team! At GTE Financial, we’re looking for an experienced and results-driven Financial Advisor to join us. If you're passionate about helping people achieve their financial goals and have a strong track record in financial services, we want you on our team. As a Financial Advisor at GTE Financial, you'll empower our members by providing personalized financial advice and strategic planning to help them reach their unique financial objectives. We provide the tools, support, and education needed to help turn our members financial needs into reality. What does GTE look for in a Financial Advisor? Expertise & Industry Knowledge Stay current with evolving financial trends, economic conditions, market developments, and emerging products within the financial services industry. Develop and maintain a deep understanding of federal and state regulatory requirements, including compliance with SEC, FINRA, NCUA, broker-dealer regulations, and credit union policies. Leverage expertise in personal and business financial planning, guiding members through complex financial decisions such as investments, retirement planning, insurance needs, and wealth management strategies. Develop personalized plans that reflect each member’s goals and risk tolerance, ensuring a holistic approach to their financial health. Maintain a thorough understanding of a broad range of financial products, including investment vehicles, insurance options, retirement plans, and advisory solutions and tailor strategies that address the unique needs of each member. Sales & Relationship Building Follow a consultative sales approach to build and manage a strong book of business. Uphold the highest standards of honesty, integrity, and transparency in all client interactions. Foster long-term, meaningful relationships with members, driving loyalty and trust. Develop strong connections with internal partners, including credit union branch staff and other departments with synergy, to enhance service delivery. Exhibit exceptional communication skills with members and staff, providing clear and compelling presentations. Actively prospect for new business opportunities and consistently generate meaningful revenue. Maintain a balanced product portfolio to meet individual and team goals. Operations & Compliance Ensure compliance with all relevant regulatory standards, including SEC, FINRA, and NCUA regulations, as well as internal policies and procedures. Adhere to broker-dealer practices and FINRA’s requirements to maintain accurate records. Stay informed on key federal regulations, including the Bank Secrecy Act, U.S. Patriot Act, Anti-Money Laundering laws, and the Right to Financial Privacy Act. Maintain and be up to date on continuing education requirements for all licenses and registrations Demonstrate problem-solving abilities by analyzing complex data and making informed decisions in line with technical guidelines. Participate in ongoing trainings and meetings to stay up to date on internal processes, regulatory changes, and other practice management best practices. Ensure timely and accurate paperwork and handle administrative tasks efficiently.

Requirements

  • Minimum 5 years of experience in financial services, with at least 2 years of proven success in sales within the industry.
  • A college degree is preferred, or equivalent relevant professional experience.
  • FINRA Series 7 and Series 65/66 licenses are required or must be obtained within 90 days of employment.
  • Life/Health Insurance license is required or must be obtained within 90 days of employment.
  • Strong proficiency in financial services and regulations, with the ability to interpret complex financial data and instructions.
  • Demonstrated commitment to a consultative sales approach while genertaing commissions and building a reliable and recurring revenue stream.
  • Proficient in Microsoft Office Suite (Word, Excel, PowerPoint, Outlook), TEAMS, and general computer software.
  • A quiet and dedicated workspace
  • Reliable internet w/minimum upload and download speeds.
  • Candidates must meet required technical computer skills.
  • Must live within commuting distance of the office.

Nice To Haves

  • Bilingual (English/Spanish) is preferred but not required.
  • LUTCF, CLU, ChFC, CFP, or other relevant certifications are preferred, or actively pursuing these credentials is highly desirable.

Responsibilities

  • Stay current with evolving financial trends, economic conditions, market developments, and emerging products within the financial services industry.
  • Develop and maintain a deep understanding of federal and state regulatory requirements, including compliance with SEC, FINRA, NCUA, broker-dealer regulations, and credit union policies.
  • Leverage expertise in personal and business financial planning, guiding members through complex financial decisions such as investments, retirement planning, insurance needs, and wealth management strategies.
  • Develop personalized plans that reflect each member’s goals and risk tolerance, ensuring a holistic approach to their financial health.
  • Maintain a thorough understanding of a broad range of financial products, including investment vehicles, insurance options, retirement plans, and advisory solutions and tailor strategies that address the unique needs of each member.
  • Follow a consultative sales approach to build and manage a strong book of business.
  • Uphold the highest standards of honesty, integrity, and transparency in all client interactions.
  • Foster long-term, meaningful relationships with members, driving loyalty and trust.
  • Develop strong connections with internal partners, including credit union branch staff and other departments with synergy, to enhance service delivery.
  • Exhibit exceptional communication skills with members and staff, providing clear and compelling presentations.
  • Actively prospect for new business opportunities and consistently generate meaningful revenue.
  • Maintain a balanced product portfolio to meet individual and team goals.
  • Ensure compliance with all relevant regulatory standards, including SEC, FINRA, and NCUA regulations, as well as internal policies and procedures.
  • Adhere to broker-dealer practices and FINRA’s requirements to maintain accurate records.
  • Stay informed on key federal regulations, including the Bank Secrecy Act, U.S. Patriot Act, Anti-Money Laundering laws, and the Right to Financial Privacy Act.
  • Maintain and be up to date on continuing education requirements for all licenses and registrations
  • Demonstrate problem-solving abilities by analyzing complex data and making informed decisions in line with technical guidelines.
  • Participate in ongoing trainings and meetings to stay up to date on internal processes, regulatory changes, and other practice management best practices.
  • Ensure timely and accurate paperwork and handle administrative tasks efficiently.

Benefits

  • Total Rewards – Competitive pay, robust insurance, wellness programs, retirement plans, generous time off.
  • Career Growth – Tuition assistance, leadership development, certifications, and ongoing learning.
  • Work-Life Balance – Flexible schedules and benefits that support your well-being.
  • Community Impact – We actively invest in local charities and volunteer efforts.
  • Purpose-Driven Work – Help deliver financial solutions that truly make a difference.

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What This Job Offers

Job Type

Full-time

Career Level

Mid Level

Number of Employees

501-1,000 employees

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