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J.P. Morgan Wealth Management – Investment Professional

J.P. Morgan

Westerville (OH)

Hybrid

USD 55,000 - 75,000

Full time

Today
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Job summary

A leading financial services firm in Ohio is seeking a Licensed Investment Professional to assist clients with their brokerage accounts. The role requires strong compliance skills, the ability to foster relationships, and adaptability in a fast-paced environment. Candidates will work onsite during training and transition to a hybrid model. This position offers a competitive salary and professional growth opportunities.

Qualifications

  • Ability to hold a registration in all 50 states.
  • Experience in financial services or brokerage.
  • Capacity to manage multiple priorities.

Responsibilities

  • Assist clients with brokerage accounts over the phone.
  • Document all client interactions and comply with regulatory requirements.
  • Identify client needs and initiate trades.

Skills

Strong compliance record
Client relationship management
Adaptability
Strong communication skills

Education

Bachelor’s degree or equivalent experience
Job description

At J.P. Morgan Wealth Management, we have an enthusiasm for helping our clients, building relationships, and delivering extraordinary customer service while maintaining a strong commitment to diversity and inclusion.

As a Licensed Investment Professional in J.P. Morgan Wealth Management, you will have the opportunity to demonstrate customer obsessed behaviors when assisting our internal and external clients with their brokerage accounts, to help them reach their financial goals and dreams. Additionally, you will see first-hand how our capital markets are impacted by local and global events in this fast-moving, dynamic industry.

Job Responsibilities
  • Assist clients and prospects with brokerage accounts and uncover investment needs with a focus on delivering an exceptional client experience over the telephone
  • Discuss Individual Retirement Accounts, such as Traditional and Roth IRAs
  • Create business efficiency by focusing on answering calls quickly, identifying client needs, initiating trades in the capital markets, and completing service-oriented transactions
  • Document all client interactions and meeting all regulatory requirements around these activities
Required qualifications, capabilities, and skills
  • Strong compliance record in prior position(s) and ability to hold a registration in all 50 states
  • Ability to create and foster strong partnerships with business partners, working independently as well as in a team environment
  • Capacity to manage multiple priorities in a fast-paced environment and be adaptive to change
  • Ability to diagnose and resolve client inquiries and requests as well as identify opportunities to deepen client relationships
Preferred qualifications, capabilities, and skills
  • Bachelor’s degree preferred or equivalent experience
  • 2 years of relevant financial services or brokerage experience
  • Flexibility, self-motivation, coachability, and passionate for helping people
  • Excellent communication and customer service skills, ability to display a high level of professionalism, and ability to adapt conversations to meet the needs of a diverse client base
Additional information
  • Must be able to work onsite Monday through Friday from 8:30am – 5:00pm during training and/or licensing. Following training, transition to a hybrid environment, where team members work in the office three days a week and work remote two days.
  • Department is open the following hours: Monday-Friday 7 AM – 8 PM EST, Saturday 8 AM – 5 PM EST. The working hours for this role will be assigned and may fall into any of the department operating hours. Candidate may be required to work non-standard schedule (example: four 10 hour days vs. five 8 hour days)
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