Wealth Advisor I
- Develops a perspective on clients by gathering personal data and information on financial situation, objectives and risk and assists senior investment offices in preparing and reviewing client presentations and proposals.
- Manages non-complex client relationships including the selection of specific FFB asset allocation strategies and basic financial plans.
- Coordinates unique portfolio requirements or client situations with FFB Investment Committee.
- Provides investment client support to senior investment officers which include handling of account transitions, diversification of concentrated positions, strategy reconciliations, cash management needs, and bond reinvestment.
- Maintains relationships with existing clients. Deliver annual investment reviews to clients.
- Expands client relationships by reviewing needs and recommending investment solutions.
- Maximizes client satisfaction to ensure retention of clients.
- Complete regulatory investment reviews on a monthly basis. Minimum Knowledge, Skills, and Abilities Needed to Perform Essential Functions of the Job
- Three (3) to five (5) years of successful investment and/or portfolio management experience
- Investment and/or portfolio experience with a desire to build a knowledge base and establish credentials;
- Relationship management experience with clients is desirable
- Knowledge of investment solutions, risk management, asset allocation and program design
- Business development experience is a plus
- Strong communication and presentation skills; able to effectively articulate investment management and financial planning options to clients
- Experience in banking or financial services is preferred
- Bachelor's degree in Business or other related field of study
- Demonstrated commitment to professional development including a desire to attain CFA/CFP designation
- Demonstrated knowledge of industry practices and regulations
- N/A
- Occasionally lifts and carries up to 20 lbs
- Frequently lifts and carries up to 10 lbs
- Frequently sits, stands and drives
- The associate is responsible for meeting all compliance requirements imposed on First Financial Bank by State and Federal law and regulation, as well as all related First Financial Bank policies and procedures. This includes all Bank Secrecy Act, Anti-Money Laundering, OFAC and Suspicious Activity reporting requirements, as well as all other lending and deposit compliance requirements.
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