Jobs · Business Development · Minnesota

Wealth Sales Assistant Unreg

Old National Bank · Buffalo, MN · 2 wk ago
Business Development$70/hrFull-time

Responsibilities

  • Interacts daily on the phone and/or in person with prospective and existing clients to respond to and resolve client servicing requests.
  • Affords administrative and operational support to Wealth Advisors, including taking trade instructions and assisting in safeguarding client assets.
  • Learns and adapts to the service needs of various clients and accounts and responds promptly to requests and inquiries from clients and assigned Wealth Advisors.
  • Handles client outreach throughout the year including scheduling reviews, birthday and holiday mailings, seminar, and client event invites.
  • and general correspondence.
  • Affords general correspondence, answering and returning calls, and calendar management as needed.
  • Makes training others on products, services and related procedures, policies and technology.
  • Proactively identifies and assesses risk and gaps in adherence to policy and procedures.
  • Participates in identifying areas of concern and keeps management informed as needed.
  • Maintain Accounts and Documentation Submission
  • Work within multiple technology platforms with a high level of accuracy in order to open accounts, process distribution requests, update accounts, and enter client trades and transactions.
  • Maintain a system for organizing annual reviews, ensuring advisory account requirements are met, and documenting meeting notes.
  • Work with outside vendors and the institution’s broker dealer to follow up on items in process, resolve account notifications, and research various issues on behalf of assigned Wealth Advisors.
  • Ensure new business documents are accurate and successfully submitted including preparation of forms, obtaining appropriate signatures, submission and follow up on new account documentation.
  • Accurately and efficiently completes tasks; double checks the accuracy of trades entered, new account forms, and all required documentation is in good order.
  • Risk Mitigation
  • Follows strict compliance guidelines as set by broker dealer and follows all broker dealer/ONI policies and procedures.
  • Affords advisor(s) in preparation of branch audits.
  • Maintain branch compliance files and submits monthly correspondence for review.
  • Mitigates risk through appropriate authentication procedures and standards.
  • Qualifications And Education Requirements

    • Associates or Bachelor’s degree preferred or 5+ year’s related work experience and related training.
    • Experience with Microsoft Office required; experience working with a CRM system preferred.
    • Experience in the securities industry and/or a sales assistant role.
    • Product knowledge - Has a thorough understanding of the investment industry and knowledge of products and services offered including the various advisory platforms Knowledge of the securities market and brokerage accounts.
    • Series 7 and 66 required.

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