Wealth Management Specialist - NR

Wealth Management Specialist - NR

10 Feb 2024
Illinois, Chicago, 60601 Chicago USA

Wealth Management Specialist - NR

Wealth Management Specialist - NRChicago, IllinoisJob Description:Business Overview:Merrill Lynch Wealth Management is a leading provider of comprehensive wealth management and investment products and services for individuals, companies, and institutions. Merrill Lynch Wealth Management is one of the largest businesses of its kind in the world specializing in goals-based wealth management, including planning for retirement, education, legacy, and other life goals through investment advice and guidance.The Elite Growth Practice (EGP) Investment Management role is a position on the Financial Advisor Team which operates in a capacity to further develop and service the client base. They are responsible for implementing and executing the Elite Growth Practice Model (EGP) in their specific functional role. Specific accountabilities for the role may vary depending on the teams practice. Performance is measured through specific goals, metrics and behavior’s related to the execution of the EGP model. This position is subject to SAFE Act registration requirementsThe Elite Growth Practice (EGP) Investment Management position may be filled at a Trainee, Specialist or Senior level depending on experience of the candidate and needs of the Financial Advisor Team. The Trainee is a non-exempt position for a hire lacking required security licenses and/or designation. This position allows the individual to become fully licensed and achieve the appropriate designations required for the position. If Series 7 and 66 (or 63 & 65) licenses and approved designation are not currently held, must be obtained within a specified timeframe to be eligible for Specialist position.The Investment Management Specialist is responsible for supporting the Financial Advisor(s) and/or Advisor Team(s) overall investment management philosophy through executing on portfolio analysis and sharing expertise in a wide range of investment product areas. Ensure risk profiles, goals, objectives and asset allocations are aligned and reflected properly for each client. Deliver full range of investment products and services across the enterprise ensuring alignment to client goals and strategies while leveraging specialists and applicable investment management tools where appropriate. Partner with internal specialists to deliver holistic investment solutions by identifying targeted investment strategies. Assist in the preparation of client performance review reports to measure progress to goals.Role Responsibilities

Analyze and understand Merrill and third party research

Monitor and respond to market and non-financial current events

Effectively navigate proprietary planning and investment management tools

Deliver investment management, including but not limited to investment proposal, CRC, etc.

Monitor and analyze book pricing internally for FA team

Convey pricing to ensure client's understanding of the value of advice and accompanying solutions

Deep understanding of the CIO philosophy & ongoing monitoring of strategy changes based on current market environment

Monitor and manage client portfolios to align with client goals, objectives, risk tolerance and time horizons

Research portfolio recommendations for Investment Committee review

Prepare materials and coordinate weekly Investment Committee meetings

Proactively review and manage team proprietary models to align with the Investment Committee decisions

Manage ML One variances/enrollments/updates/withdrawals/terminations

Serve as Primary/Lead Team Member for processing PIA trades in Portfolio

Processing of all trades (discretionary or non-discretionary)

Create analytical reports for FAs to review client investment portfolio performances against market returns

Propose client recommendations/changes based on client goals, risk tolerance, time horizon and objectives

Qualifications

Series 7, 63/65 or 66 or equivalent; must obtain all state registrations in support of Financial Advisor(s) and Advisor Team(s) If Series 7, 63/65 or 66 or equivalent are not currently held, must be obtained within a specified timeframe to be eligible for Specialist position.

SAFE ACT Registration

Individuals in this role are required to maintain a Form ADV -2B, which provides clients details on individuals experience and educational background, along with other requirements governed by the U.S. Securities and Exchange Commission (“SEC”)

Obtain and/or maintain at least one firm approved designation

Possess and demonstrate strong communication skills

Thorough knowledge and understanding of the suite of Wealth Management products and services

Strong analytical and portfolio management skills with the ability to identify trends and implement investment strategies to increase growth and mitigate risk

Ability to make sound decisions by having a deep understanding of investment management best practices and policies/procedures

Ability to identify client needs and concerns, and articulate appropriate approach to align solutions to goals in a suitable and controlled way

Shift:1st shift (United States of America)Hours Per Week:37.5Bank of America and its affiliates consider for employment and hire qualified candidates without regard to race, religious creed, religion, color, sex, sexual orientation, genetic information, gender, gender identity, gender expression, age, national origin, ancestry, citizenship, protected veteran or disability status or any factor prohibited by law, and as such affirms in policy and practice to support and promote the concept of equal employment opportunity and affirmative action, in accordance with all applicable federal, state, provincial and municipal laws. The company also prohibits discrimination on other bases such as medical condition, marital status or any other factor that is irrelevant to the performance of our teammates.To view the "EEO is the Law" poster, CLICK HERE (https://www.dol.gov/ofccp/regs/compliance/posters/pdf/eeopost.pdf) .To view the "EEO is the Law" Supplement, CLICK HERE (https://www.dol.gov/ofccp/regs/compliance/posters/pdf/OFCCPEEOSupplementFinalJRFQA508c.pdf) .Bank of America aims to create a workplace free from the dangers and resulting consequences of illegal and illicit drug use and alcohol abuse. Our Drug-Free Workplace and Alcohol Policy (“Policy”) establishes requirements to prevent the presence or use of illegal or illicit drugs or unauthorized alcohol on Bank of America premises and to provide a safe work environment.To view Bank of America’s Drug-free workplace and alcohol policy, CLICK HERE .

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