The Financial Advisor provides investment advisory services for clients of the company. They create tailored investment strategies to help clients grow, protect, and preserve their assets and by providing independent, objective advice and professional investment management using a comprehensive life-planning approach. Financial Advisors provide financial planning and investment management for clients and utilize financial planning software, in addition to meeting with prospects, opening and servicing accounts and placing trades.
Responsibilities • Contact prospects as referrals are assigned in the CRM from various lead sources (employees, website, webinars, etc.) • Conduct prospect meetings to gather necessary financial information, assess their unique goals and determine what their needs are • Participate in branch huddles and provide other training as needed to branch staff to assist with educating on providing referrals • Prepare financial plans, as necessary, utilizing financial planning software • Maintain accurate records in CRM system related to opportunities assigned • Prepare paperwork to open/service accounts and ensuring all paperwork is in good order • Places trades as necessary • Searches for cross-sell opportunities back to the credit union or subsidiaries based on the client's needs • Maintains compliance with all broker-dealer policies and procedures, and all rules set forth by FINRA, SEC and applicable state regulators • Collaborate with team members within the company to develop relationships to generate opportunities, work COI, and establish relationships within the community • Engage with marketing on webinar content and other business development ideas • Adhere to Bank Secrecy Act (BSA) regulations and all related Credit Union policies and procedures
Qualifications:
Required • Strong client relationship-building experience • Ability to use standard office equipment and systems; working knowledge of Microsoft Office suite of products, especially Word and Excel • Ability to demonstrate a deep understanding of financial markets and can effectively simplify complex financial concepts while building relationships with clients • Strong organizational skills • Ability to work independently and effectively manage multiple tasks at one time while meeting deadlines • Clean SEC and FINRA record • A FINRA Series 7 and 66 (or 63/65) • Minimum of 5 years' work experience in the investment industry
Preferred • Designations such as CFP® or ChFC, willingness to obtain CFP® designation is desired • An active Life and Health Insurance license (may be obtained within 120 days of employment) • Bachelor's Degree; within the financial services field is preferred