Operations Associate
New Account Opening:
• Facilitate the setup of new client accounts, ensuring accuracy and compliance with regulatory and company standards.
• Collect and verify required documentation, ensuring adherence to KYC/AML guidelines.
• Serve as a liaison between clients, advisors, and custodians to address inquiries and resolve issues related to account setup.
• Coordinate and process portfolio trades, ensuring timely and accurate execution.
• Monitor trade settlements and address discrepancies or trade breaks promptly.
• Work closely with portfolio managers and trading desks to ensure efficient workflows.
Client Service:
• Provide top-tier client support by addressing inquiries related to accounts, trades, and other operational matters.
• Collaborate with advisors and internal teams to deliver seamless client experiences.
• Troubleshoot and resolve client issues efficiently, maintaining professionalism at all times.
Asset Movement:
• Process and monitor asset transfers, contributions, withdrawals, and wires with precision.
• Ensure all asset movement transactions comply with internal policies and external regulations.
• Proactively communicate with stakeholders to ensure transparency and accuracy in asset movement activities.
New Account Opening:
• Pre-fill insurance applications/e-applications.
• Review insurance applications, conversions, and policy changes for completeness & accuracy.
• Arrange medical, paramedical and any exams necessary for underwriting.
• Help financial representatives expedite the underwriting process and follow up on requirements with clients.
• Responsible for obtaining the reporting requirements for issued policies.
• Servicing of existing client policies including but not limited to beneficiary changes, bank account information changes, processing death claims or policy surrender. Qualifications: • 2+ years of experience in investment operations, financial services, or a similar role.
• Strong understanding of financial products, trading processes, and account operations.
• Excellent analytical, problem-solving, and organizational skills.
• Proficiency in financial systems and tools (e.g., custodial platforms, trading systems, and CRM software).
• Exceptional communication skills, with the ability to work collaboratively across teams.
• Must be able to pass a basic background screening for the securities industry. Preferred Certification Requirements, but required post-employment:
• Securities Industry Essentials (SIE) certification required.
• Series 6/7 and Series 63 or 66 certifications required.
• Life, Accident, and Health Insurance certification.
• Bachelor’s Degree in Finance, Economics, Business, or a related field is preferred. Why Join Us?
• Opportunity to work with a dynamic and experienced team of professionals.
• Opportunity to work for a firm that has been voted one of CNY's Best Places to Work for the last 3 years.
• Competitive salary and potential performance-based bonuses.
- Medical Benefits include access to Infertility Treatments; Family Planning & Family Assistance; Mental Health Care; Pain Management Program; Hearing Aids; Non-Emergency Care when Traveling outside the US along with discounts to Fitness Programs as well as health and wellness products and services.
• Profit sharing 401(k) opportunities.
• Commitment to professional development and growth opportunities.
• Opportunities for community/volunteer service and company matches of donations.
• Hybrid remote policy. Application Process:
Interested candidates are invited to submit their resume and a cover letter detailing their qualifications and career achievements. Applications will be reviewed on a rolling basis. GROW Wealth Partners is an equal opportunity employer. We celebrate diversity and are committed to creating an inclusive environment for all employees.
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