Financial Advisor

The Fidelity Bank

Cary (NC)

On-site

USD 90,000 - 150,000

Full time

2 days ago
Be an early applicant

Get more replies from employers

Send a job-specific resume in minutes.

Job summary

The Fidelity Bank is seeking a Financial Advisor to serve high-net-worth clients typically in the $250K - $2MM segment, delivering a structured advice experience across inquiry, planning, implementation and reviews. The Financial Advisor partners with specialists as needed to ensure proactive client engagement.

You will develop and manage investment strategies, perform comprehensive reviews, and work with banking teams to expand wealth management opportunities while maintaining documentation and

Qualifications

  • Bachelor degree with 4 years’ experience in financial advisory, planning, brokerage, or Bank-based investment programs or an equivalent combination of education and experience.
  • FINRA Series 7 License
  • FINRA Series 66 (or Series 63 and 65)
  • North Carolina Life and Health Insurance License (or ability to obtain within a specified timeframe.)
  • Strong understanding of investment products, retirement planning, financial planning, and wealth management principles.
  • Excellent interpersonal, presentation, and relationship management skills.
  • Proven ability to identify client needs and recommend appropriate solutions.
  • Strong sales, business development, and networking skills.
  • Ability to communicate complex financial concepts in a clear and understandable manner.
  • Strong organizational skills and attention to detail.
  • Commitment to delivering exceptional client service consistent with Fidelity Bank's relationship-focused culture.

Responsibilities

  • Develop and maintain a portfolio of investment and wealth management clients.
  • Conduct comprehensive financial reviews and needs analyses. Deliver personalized financial planning and investment recommendations based on each client's objectives, risk tolerance, and financial circumstances.
  • Build long-term trusted advisor relationships through proactive communication and ongoing portfolio reviews. Identify opportunities to deepen client relationships across banking, wealth management, trust, insurance, and lending products.
  • Generate new investment assets through referrals, prospecting, centers of influence, and community involvement.
  • Partner with retail and commercial banking teams to identify and cultivate wealth management opportunities. Conduct client seminars, educational workshops, and networking activities to enhance business development efforts.
  • Meet or exceed established production, asset growth, and client acquisition goals.
  • Develop and implement tailored investment strategies aligned with client goals. Provide guidance related to retirement planning, education planning, wealth accumulation, income strategies, and legacy planning.
  • Monitor portfolio performance and recommend appropriate adjustments, as needed.
  • Stay informed of market trends, economic conditions, investment products, and industry developments.
  • Ensure all activities comply with applicable SEC, FINRA, state insurance, and Bank regulations.
  • Maintain accurate and complete client documentation and records.
  • Adhere to all fiduciary, suitability, and disclosure requirements. Complete all required compliance training and continuing education.
  • Work collaboratively with Bank leadership and referral partners to promote a coordinated client experience.
  • Participate in sales meetings, branch visits, community events, and strategic initiatives. Serve as a resource and subject matter expert for associates regarding wealth management solutions.
  • Contribute to special tasks and projects, as assigned.

Skills

Portfolio management
Client relationship management
Financial planning
Investment planning
Risk tolerance analysis
Sales & business development
Networking
Compliance knowledge
Communication skills
Presentation skills

Education

Bachelor's degree in finance/related field

Job description

Summary

The Financial Advisor is the primary advisor for clients typically in the $250K - $2MM segment (and may support "Prime" relationships as designed), delivering a structured advice experience including inquiry, planning, implementation, and periodic reviews. The Financial Advisor partners with specialists as needed and ensures consistent, proactive client engagement.


Principal Accountabilities


  • 15% Develop and maintain a portfolio of investment and wealth management clients.

  • 15% Conduct comprehensive financial reviews and needs analyses. Deliver personalized financial planning and investment recommendations based on each client's objectives, risk tolerance, and financial circumstances.

  • 10% Build long-term trusted advisor relationships through proactive communication and ongoing portfolio reviews. Identify opportunities to deepen client relationships across banking, wealth management, trust, insurance, and lending products.

  • 5% Generate new investment assets through referrals, prospecting, centers of influence, and community involvement.

  • 5% Partner with retail and commercial banking teams to identify and cultivate wealth management opportunities. Conduct client seminars, educational workshops, and networking activities to enhance business development efforts.

  • 5% Meet or exceed established production, asset growth, and client acquisition goals.

  • 5% Develop and implement tailored investment strategies aligned with client goals. Provide guidance related to retirement planning, education planning, wealth accumulation, income strategies, and legacy planning.

  • 5% Monitor portfolio performance and recommend appropriate adjustments, as needed.

  • 5% Stay informed of market trends, economic conditions, investment products, and industry developments.

  • 5% Ensure all activities comply with applicable SEC, FINRA, state insurance, and Bank regulations.

  • 5% Maintain accurate and complete client documentation and records.

  • 5% Adhere to all fiduciary, suitability, and disclosure requirements. Complete all required compliance training and continuing education.

  • 5% Work collaboratively with Bank leadership and referral partners to promote a coordinated client experience.

  • 5% Participate in sales meetings, branch visits, community events, and strategic initiatives. Serve as a resource and subject matter expert for associates regarding wealth management solutions.

  • 5% Contribute to special tasks and projects, as assigned.


Basic Qualifications

Bachelor degree with 4 years’ experience in financial advisory, planning, brokerage, or Bank-based investment programs or an equivalent combination of education and experience.


Additional Qualifications


  • FINRA Series 7 License

  • FINRA Series 66 (or Series 63 and 65)

  • North Carolina Life and Health Insurance License (or ability to obtain within a specified timeframe.)

  • Strong understanding of investment products, retirement planning, financial planning, and wealth management principles.

  • Excellent interpersonal, presentation, and relationship management skills.

  • Proven ability to identify client needs and recommend appropriate solutions.

  • Strong sales, business development, and networking skills.

  • Ability to communicate complex financial concepts in a clear and understandable manner.

  • Strong organizational skills and attention to detail.

  • Commitment to delivering exceptional client service consistent with Fidelity Bank's relationship-focused culture.


Preferred Qualifications


  • Certified Financial Planner (CFP®)

  • Chartered Financial Consultant (ChFC®)

  • Chartered Financial Analyst (CFA®)


The above statements are intended to describe the general nature and level of work being performed by people assigned to this job.


They are not intended to be an exhaustive list of all responsibilities, duties and skills required of personnel so classified.


Affirmative Action/Equal Opportunity Employer

Get your free, confidential resume review.
or drag and drop your file here.
Similar jobs

Similar jobs worth comparing

Wealth Advisor II
Wealth Advisor II

First Financial Bank • North Chicago (IL)

On-site
USD 74,000 - 100,000
Financial Advisor, Wealth Solutions
Financial Advisor, Wealth Solutions

b1BANK • Baton Rouge (LA)

On-site
USD 60,000 - 95,000
Financial Advisor, Wealth Solutions
Financial Advisor, Wealth Solutions

b1BANK • Port Allen (LA)

On-site
USD 70,000 - 100,000
Financial Planner
Financial Planner

Squarely LLC • San Antonio (TX)

On-site
USD 70,000 - 100,000
Financial Manager
Financial Manager

Fiduciary Counselling, Inc. • Tacoma (WA)

On-site
USD 80,000 - 100,000
Sr. Financial Advisor
Sr. Financial Advisor

First National Bank • Lincoln (NE)

On-site
USD 70,000 - 100,000
Medical, Dental, and Vision Insurance
401(k) with company matching contributions
Tuition Assistance Program
+1
Financial Manager
Financial Manager

Fiduciary Counselling, Inc. • Saint Paul (MN)

On-site
USD 80,000 - 110,000
Wealth Advisor III (Canton)
Wealth Advisor III (Canton)

Newrez LLC • Canton (OH)

On-site
USD 90,000 - 140,000
Wealth Solutions Financial Advisor — Build Plans & Grow Clients
Wealth Solutions Financial Advisor — Build Plans & Grow Clients

b1BANK • Baton Rouge (LA)

On-site
USD 60,000 - 95,000
Financial Advisor
Financial Advisor

SR Staffing • Bellevue (WA)

On-site
USD 90,000 - 125,000
Medical & dental contribution
401(k) with employer match
Paid holidays and PTO
+2