Investment Operations Associate

Lead Advisor

Westport (CT)

Hybrid

USD 69,000 - 80,000

Full time

14 days+

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Job summary

A wealth management recruiting firm in Westport is seeking an Investment Operations Service Associate. This role involves onboarding new clients and servicing existing ones, requiring Series 7 and 66 licenses. Ideal candidates are detail-oriented team players with strong communication skills and a passion for a fast-paced environment. The job is full-time, requiring four days in the office. Compensation ranges from $69,000 to $80,000 annually. A positive attitude and ability to learn quickly are essential for success.

Qualifications

  • Experience in an investment operations role is preferred.
  • Candidate must be willing to obtain necessary licenses.
  • Exceptional communication skills are required.

Responsibilities

  • Onboard new investment clients and service existing clients.
  • Prepare paperwork for account opening and monitor transfers.
  • Provide high-touch service during client onboarding.

Skills

Strong professional communication skills
Attention to detail
Ability to learn quickly
Team player

Education

1-3 years in investment operations or willing to learn
Series 7 and 66 licenses or willingness to obtain
CT Life and Health license or willingness to obtain

Tools

NetX360
Envestnet

Job description

This range is provided by Lead Advisor. Your actual pay will be based on your skills and experience — talk with your recruiter to learn more.

Base pay range

$69,000.00/yr - $80,000.00/yr

Lead Advisor is a wealth management recruiting and consulting firm. This role is for one of our clients.

Investment Operations Service Associate

Our client is an award‑winning wealth management and financial planning practice in Westport, CT that is hiring for a registered service associate to expand our investment operations team capabilities. The responsibilities of this role include onboarding new investment clients and servicing existing clients. This role will require the candidate to have or obtain their Series 7 and 66 registrations. This is not a sales role.

RESPONSIBILITIES

New Account Opening & Client On‑Boarding

  • Preparing and processing all paperwork needed for investment/advisory account opening
  • Monitoring, processing, and following up on asset transfers and funding of advisory and brokerage accounts
  • Facilitating 401(k)/IRA rollovers from other retirement plans
  • Trading new accounts to target allocation via initial trading and execution of any client‑specific transition planning and/or DCA schedule
  • Weekly updates and high‑touch service and support for new clients to the firm while in the onboarding process
  • Resolving any/all trade issues related to new accounts

Account Service, Portfolio Monitoring and Maintenance

  • Facilitating portfolio changes approved by the investment committee
  • Managing drift notices and compliance alerts and questions
  • Rebalancing accounts as needed due to market movement
  • Resolving all trade‑related issues for existing accounts
  • Proactively reminding clients of funding requirements and opportunities and executing as needed/directed (IRA, 529, RMDs, sideline cash, etc)
  • Raising cash through strategic position management to fund/maintain cash reserves and meet advisory fee needs

Client Service

  • Addressing client requests with clear, friendly and highly responsive communication
  • Executing cash/ money movements per client requests
  • Helping address client questions across topics including, but not limited to tax withholding, tax documents, fees, etc
  • Assisting clients with account utilization needs (check writing capability, margin loan set up, requests and repayment, etc)

Building Expertise and Promoting the Positive Reputation of the Practice

  • Full understanding and execution of compliance protocols
  • Building collaborative relationships with home office colleagues and resources
  • Improving systems and communicating with firm leadership to maintain efficiency, ensure reliability, and adapt to changes in our industry, at the company and within the firm
  • Working with other team members to ensure we fulfil the promises made to clients in a way that exceeds expectations whenever possible
  • Working with other team members to deliver a platinum level of client service (friendly, personal, accurate/knowledgeable and highly responsive)
A SUCCESSFUL CANDIDATE WILL BE:
  • Team player: will thrive in a fast‑paced, can‑do, divide and conquer, collaborative team setting
  • Sharp with demonstrated excellence
  • Accomplished (highly motivated/involved, ownership oriented)
  • Able to learn quickly and execute to an exacting standard
  • Procedural; will thrive on consistently maintaining highly organized processes and owning/seeing an exceptional number of dynamic tasks to completion…yet flexible enough to prioritize, triage, and be creative when needed
QUALIFICATIONS
  • 1‑3 years of experience in an investment operations role or a very quick learner
  • Series 7 and 66 licenses securities trading or willing to get licensed within 6 months of hire
  • CT Life and Health license or willingness to get licensed within 6 months of hire
  • Exceptionally strong professional communication skills (verbal and written/email)
  • Strong attention to detail with the ability to work with a high degree of accuracy
  • A passion for working on an exceptional team and having fun while doing great work
  • Demonstrated ability to maintain effective working relationships with clients
  • Willingness to learn
  • Ability to embrace change and work in a fast‑paced environment
  • Fluency with traditional software programs; Experience with NetX360 and Envestnet is a plus
Location

4 days in office, Westport, CT.

Seniority level

Associate

Employment type

Full‑time

Job function

Other

Industries: Financial Services and Investment Management

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