Wealth Management Associate Portfolio Manger

United Community Bank•Orlando, FL
•$68,287 - $113,209•Onsite

About The Position

The Wealth Management Associate Portfolio Manager supports the construction and ongoing management of discretionary investment portfolios for high-net-worth individuals and institutional clients. This role works under the guidance of Director, Portfolio Management and contributes to portfolio implementation, monitoring, client reporting, and investment analysis. The position partners closely with Private Bankers, Trust Officers, and senior investment team members to support client relationship activities and deliver a high-quality wealth management experience.

Requirements

  • Undergraduate degree in business, finance, economics, or a related field, or equivalent experience.
  • Two to four years of investment management, investment advisory, trust, or related financial services experience.
  • Foundational knowledge of investment strategies, asset allocation, and portfolio construction.
  • Working knowledge of performance measurement concepts and investment reporting.
  • Strong analytical, quantitative, verbal, and written communication skills.
  • Ability to build effective working relationships with internal partners and clients.
  • Must be able to pass a criminal background and credit check.

Nice To Haves

  • Progress toward professional designations such as CFA, CIMA, CFP, or MBA preferred.
  • Familiarity with systems used to evaluate investment performance.

Responsibilities

  • Assist in the design, construction, and maintenance of client investment portfolios in alignment with stated objectives and risk tolerances.
  • Support portfolio rebalancing, trade execution, and cash management activities under Director, Portfolio Management direction.
  • Prepare investment reviews, performance reports, and client presentation materials.
  • Monitor portfolio performance and market conditions; escalate observations and recommendations to Director, Portfolio Management.
  • Participate in client meetings and relationship review sessions as a supporting team member.
  • Collaborate with Private Bankers, Trust Officers, and other internal in a support and sales capacity.
  • Ensure adherence to regulatory requirements, internal policies, and investment guidelines.
  • Conduct market, economic, and investment research to support portfolio decisions.
  • Maintain accurate documentation and client records in accordance with company standards.
  • Participate in ongoing professional development and in with purpose of visibility in the community and prospects.
  • Participate in all required compliance training, including Bank Secrecy Act/anti-money laundering training, as well as internal and external training programs, online training, meetings, and seminars/conferences, etc.
  • Other duties, responsibilities and activities may change or be assigned at any time with or without notice.
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