Wealth Advisor I

Central Pacific BankHonolulu, HI
123d$30,000

About The Position

Provide professional investment and life insurance advice including comprehensive financial planning to the wealth management, commercial and small business markets; developing new business relationships in those markets; and enhancing the Central Pacific's employees' overall knowledge of these products in accordance with the bank's strategic business plans. Performs all duties and interacts with internal and external customers in a manner that is expressly aligned with the Company's Core Values of approaching all actions with a 'Voyaging Spirit' and being 'Positively Ohana'. Exhibits core competencies that result in consistent delivery of positive Customer Interactions, Empowerment and Ownership and demonstrates key professional and performance skills such as Active Listening, effective Oral and Written Communication, Action and Solution Oriented and Thoroughness.

Requirements

  • Bachelor's Degree in Business, or equivalent knowledge required.
  • 3+ years of experience as a Wealth Advisor in the sales and delivery of financial planning, personal investment and insurance products required.
  • Experience in a financial institution preferred.
  • State of Hawaii Life, Health and Disability Insurance.
  • Producer (Agent Preferred) License.
  • Fully Licensed in FINRA including Series 7, 63, 65 or 66.

Responsibilities

  • Participate in Bank sponsored internal/external events.
  • Participate in Bank sponsored focus groups, initiatives, campaigns (lead or actively participate).
  • Achieve budgeted amount of fee income based upon territory size, number of years of experience, and industry averages.
  • Help business partners achieve their Investment Service fee income goals.
  • Help maintain expenses within approved budgets and support WA's towards fee income goals.
  • Complete required and requested reports on time and accurately.
  • Actively seek opportunities to help prospects and customers and strengthen relationships through introductions and referrals to Wealth Management, Commercial & Consumer Divisions.
  • Demonstrate core values (TIES) teamwork, integrity, exceptional service by recognizing and being recognized by internal/external clients.
  • Maintain internal service standards.
  • Follow internal procedures to achieve satisfactory internal, LPL, FDIC audits.
  • Comply in a timely manner with all compliance requests.
  • Keep abreast of regulatory and industry developments.
  • Adhere to Bank policies and procedures.
  • Attend required and elective training and workshops.
  • Participate in a non-profit organization.
  • Participate in professional group/organization.
  • Obtain industry designations to broaden product/service skillset for financial planning, insurance and fee based platforms.

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What This Job Offers

Industry

Credit Intermediation and Related Activities

Education Level

Bachelor's degree

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