Trading Associate

Cetera Financial GroupDubuque, IA
10h$21 - $30Hybrid

About The Position

The Investment Trader will be responsible for the implementation of trade requests for RIA accounts as requested by authorized persons, and per client Investment Policy Statements (IPS) and Investment Advisory Committee (IAC) policies in a timely, accurate and professional manner. This role is hybrid and will require being in office 2-3 days a week in the Dubuque, IA or St. Cloud, MN office.

Requirements

  • Ability to read and interpret documents, instructions, and procedure manuals.
  • Ability to write simple correspondence.
  • Ability to effectively present information and respond to questions one-on-one or small group situations to clients and other employees of the organization.
  • Ability to calculate figures and amounts such as percentages and weightings.
  • Ability to create and interpret mathematical equations within Excel spreadsheets.
  • Ability to interpret a variety of instructions furnished in written, oral, diagram or schedule form.
  • Ability to define problems, collect data, establish facts, and draw valid conclusions.
  • Ability to solve practical problems and deal with a variety of concrete variables in situations where only limited standardization exists.
  • Strong computer skills with Microsoft Word, Excel, PowerPoint, Outlook, CRM Database, and Internet Assist the business development unit with research and creating materials as needed.
  • Work toward continuous quality improvements and service preferred.
  • Strong technical and mathematical skills.

Responsibilities

  • Review, calculate and prepare trades for incoming cash and security deposits, client distributions, rebalancing, IAC model changes, stock trades.
  • Oversee newly funded accounts and implement IPS instructions.
  • Monitor cash levels to invest excess and sell for systematic distributions.
  • Monitor accounts that hold individual taxable and/or municipal bond securities, and structured notes; manage purchases of individual securities.
  • Serve as point-of-contact for and oversee SMA services.
  • Document to client relationship management system (CRM).
  • Ongoing projects to execute tax loss harvesting trades, inner class exchanges, partial share cleanups, non-model fund sell lists, follow-up requests, etc.
  • Manage data for quality control with queries and reports.
  • Stay current with economic and market conditions.
  • Stay current with changing technology, including software and financial programs.
  • Uphold, support, and promote all company policies and procedures.
  • Assist the business development unit with research and creating materials as needed.
  • Work toward continuous quality improvements and service.
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