Portfolio Trader

Focus Partners WealthSt. Louis, MO
Hybrid

About The Position

Focus Partners Wealth is seeking a Portfolio Trader to join their Centralized Portfolio Management Team. The primary responsibility of this role is to manage all portfolio/investment related activities for respective wealth management teams. This includes implementing investment strategy, managing cash balances, and identifying opportunities for rebalancing, portfolio improvement, and tax loss harvesting. The Portfolio Trader will conduct daily, weekly, and monthly portfolio reviews. Focus provides team members the flexibility to work a hybrid schedule, defined as 3 days in office work required per week, with the option to work remotely 2 days per week, or as assigned by their team leader.

Requirements

  • Two years of experience in financial services required
  • Bachelor’s degree.
  • Strong proficiency in Microsoft Applications
  • Strong written and verbal communication skills.
  • Desire to take ownership and provide the best customer service in the industry
  • Energetic self-starter with an extremely positive, can-do attitude
  • Strong organization skills with exceptional attention to detail
  • Must work well in a team environment, supporting others and filling in as necessary
  • Must be able to prioritize and switch tasks as needed

Nice To Haves

  • Experience working with RIAs and Independent Financial Advisors a plus.
  • Equity and mutual fund trading experience and familiarity with Pershing, Charles Schwab Institutional, Fidelity Institutional, or TD Ameritrade Institutional a plus.
  • Orion Software, Envestnet Software or Custodian website experience preferred

Responsibilities

  • Deep understanding of our investment philosophy and the investments we use.
  • Responsible for setting up clients in rebalancing software and updating targets when a client’s allocation changes.
  • Run rebalancing software to identify client portfolios that are out of balance and to determine what action, if any, should be taken.
  • Manage appropriate minimum and max cash thresholds as well as recurring contributions and distributions.
  • Confirm accuracy of a client’s cash needs with advisory team on a periodic basis.
  • Propose and execute plans for RMDs and any account cash flows.
  • Perform review of cash to be invested or generated.
  • Appropriately manage cash flow of accounts to provide for timely collection of fees. Provide and execute recommended action plans to collect on any outstanding uncollected fees.
  • Identify opportunities to harvest losses as well as opportunities to switch to a more tax-efficient (or more preferred) investment vehicle.
  • Develops recommendations for client accounts for which we do not maintain discretion.
  • Provide superior, friendly and knowledgeable service by telephone and e-mail with financial advisors
  • Effectively prioritize work to meet trade deadlines and service level agreements

Benefits

  • an annual cash bonus
  • a comprehensive benefits package, including but not limited to medical, dental, vision, life insurance, and 401(k)
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