Wealth Management Relationship Manager III

Provident Bank

Morristown (NJ)

On-site

USD 108,000 - 177,000

Full time

12 days ago

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Job summary

Provident Bank's Beacon Trust division seeks a Wealth Management Relationship Manager III to manage and grow high‑value client relationships. You will coordinate planning, investments, tax and trust services, prepare financial plans, and present results to clients.

You will work with sales, planning and operations to deliver seamless service and to develop new business within existing relationships. The role emphasizes business development, requires at least 10 years in financial planning or

Qualifications

  • MBA preferred.
  • 10+ years in financial planning, client services, or related field.
  • Excellent client-facing service and problem‑resolution skills.
  • Strong communication, multitasking, and organizational abilities.
  • Experience with investments, tax, fiduciary and operations.

Responsibilities

  • Manages daily administration of wealth management relationships.
  • Develops financial plans and presents results to clients.
  • collaborates with planning, tax, trust and investments teams.
  • Onboards new clients and coordinates services during onboarding.
  • Builds and enhances relationships through proactive client communication.

Skills

Financial planning
Client service
Relationship mgmt
Sales
CRM
Excel

Education

MBA preferred

Tools

CRM software
eMoney

Job description

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Wealth Management Relationship Manager III

POSITION OVERVIEW:

The overall goal is to deliver high-quality wealth management services to clients (existing relationships) and prospects (new business). Under general direction, this individual contributor is responsible for handling daily administration of wealth management relationships in consultation with various team members. This is the most experienced position in the job family and will be responsible for the most complex relationships. The relationship manager will strengthen existing relationships by providing efficient and timely client service and problem resolution. Through ongoing servicing of the clients, this individual will generate referrals consistent with the annual incentive plan to support firm growth. In this position, the individual will participate in new business development and coordinate the necessary services during the onboarding process. This role will have a stronger emphasis on business development than others in the job family. This individual will have direct communication with the business development officer (Sales) regarding the needs of new clients, and then work closely with other departments (planning, trust, tax, and investments) to meet deliverables. With respect to both new and existing clients, the relationship manager is responsible for overall client satisfaction and should strive to continuously improve processes and increase efficiency through the use of operational platforms. In this role, the individual will handle all aspect of financial planning, including preparation of the plan and presentation of the results to clients. This individual should proactively develop solutions to meet the client’s wealth management objectives. Generally maintains the account by initiating a range of account activity, monitoring account records to ensure accuracy and completeness, and responding to client inquiries. Utilizes wealth management knowledge, experience, and bank resources to identify opportunities for relationship enhancement and to recognize problems and provide solutions. Incumbent is expected to display professional maturity, judgment and experience. A certain degree of creativity, diplomacy and latitude is required.

KEY RESPONSIBILITIES:

  • Works directly with clients and responds to client requests for account information or initiates transactions requested by client. Administers assigned accounts in accordance with bank and department policies and procedures, ensuring that fiduciary standards and practices are observed.
  • Develops financial plans by collecting necessary information from client, entering information into financial planning software, and preparing analysis. Responds to planning related inquiries from clients and provides financial planning advice and guidance.
  • Maintains a strong understanding of the roles of other departments - portfolio management, tax advisory, and trust administration - so collaboration can easily occur.
  • Develops direct working relationships and interacts with internal partners, clients, prospects, and external contacts (attorneys, CPAs, trustees, etc.) to ensure accounts are administered properly.
  • Attends client and internal meetings as necessary. Collaborates with other team members to prepare meeting materials. Handles follow up action items, including recordkeeping in CRM software.
  • In conjunction with operations, ensures accounts are opened or closed accurately and promptly, collects and values assets, completes documentation, initiates and coordinates all duties associated with a new or terminated accounts.
  • Coordinate services, paperwork, and other needs during onboarding process for new clients.
  • Initiates proper disbursement of funds as directed. Monitors records and daily activity to ensure they are accurate and complete. Ensure transactions are completed with audit and compliance standards as well as timely execution.
  • Responds to internal and external inquiries resolving discrepancies related to accounts. Follows through until requests are completed and outstanding issues are addressed.
  • Ongoing, proactive communication and interactions with clients and prospects via telephone, email, Zoom, or in person in order to build and enhance relationships. Records relevant details of client interactions in CRM software.
  • Assists the Department Manager on special projects as required. Serve on committees and contribute to the functioning of the department and firm overall. Perform other duties as required by position.
  • Develops new business from existing relationships, centers of influence and other sources

MINIMUM QUALIFICATIONS:

  • MBA preferred
  • 10 or more years of experience in financial planning, client services, or related field
  • Excellent client facing service experience and problem resolution skills required. Strong interpersonal and team skills. Ability to establish relationships and partner effectively with various groups including sales, service, tax and investments.
  • Working knowledge of investments, tax, fiduciary and operations usually acquired through formal education or related experience is required to service clients.
  • Working knowledge of the securities industry, usually acquired through formal training or prior experience, is required to understand and respond to investment issues.
  • Strong communications skills (verbal and written), attention to detail, accuracy, ability to multi-task and effective time management and organization skills are required. Must be able to effectively manage multiple transactions/tasks.
  • Working knowledge of Microsoft Excel, Word and PowerPoint is preferable.
  • Strong skills in negotiating, delegating, leadership and sales are necessary to service and enhance the client relationship.
  • Working knowledge of financial planning usually acquired through related experience, including the use of planning software (eMoney, etc.).
  • Strong organizational, analytical, and problem-solving skills are required to oversee client transactions, identify and resolve account issues
  • Personal computer skills are required for account maintenance activities.

LICENSES AND/OR CERTIFICATIONS:

  • Series 65 required or equivalent for state Investment Advisor Representative (IAR) registration, or must obtain within the first 90 days of hire (failure to do so may result in a reassessment of employment status)
  • CFP® designation may be accepted in lieu of Series 65 in certain states

WORKING CONDITIONS

Work is mainly performed in a normal office environment. Noise levels usually are moderate.

  • Prolonged sitting
  • Lifting from 5 to 10 lbs. (printer paper, storage boxes)
  • Occasional bending or overhead lifting (storing files or boxes)
  • The hazards are mainly those present in a normal office setting.

This job description may not be all-inclusive. Employees are expected to perform other duties as assigned and directed by management. Job descriptions and duties may be modified when deemed appropriate by management.

Provident Bank, Beacon Trust and /or Provident Protection Plus require consent to conduct a comprehensive background check. This background check will be tailored to the specific requirements of the position for which you are applying. These reviews may include, but are not limited to, items such as:

  • Verification of employment
  • Verification of educational background and degrees
  • Criminal records check
  • Civil records check
  • Credit history check
  • Verification of professional licenses and certifications (if applicable)
  • Web CRD records (if applicable)
  • Any records related to federal, state and/or local statutes
  • Any records related to Code of Ethics adherence (if applicable)
  • Any other records requested in connection with questions on the candidate's background

The scope of the background check will be determined based on the level and responsibilities of the role. The results of the background check will be used solely to assess suitability for the specified position. Any false information, omissions, or failure to provide consent to undergo these reviews may disqualify a candidate from
employment.


Beacon Trust recognizes and supports the importance of creating a socially and culturally diverse employee base. We understand, value, and appreciate the unique perspectives that a diverse workforce can contribute to our organization. We put the employee and the customer at the center of strategy because culture is a critical differentiator for why people choose to work here.
We are an equal opportunity employer, and all qualified applicants will receive consideration for employment without regard to age 40 and over, color, disability, gender identity, genetic information, military or veteran status, national origin, race, religion, sex, sexual orientation or any other applicable status protected by state or local law.

$107,800 - $177,100 annually

Please note, the base pay actually offered may vary based upon the candidate's skills and experience, job-related knowledge, education, geographic location, internal equity, and other applicable business and organizational needs.

This role is incentive eligible based upon company, business, and/or individual goal achievement and performance.

Team members accrue paid time-off (PTO), receive Holiday (PTO) and are eligible to participate in the bank's Health and Wellness benefits including Medical, Dental and Vision Plans, Flexible and Health Savings Accounts, and a 401(k) Retirement Plan. In addition, the company provides Disability Insurance, an Employee Assistance Program, and Basic Life Insurance. Company sponsored Tuition Disbursement and Loan Repayment programs are also available. Voluntary benefits include Supplemental Life Insurance, Accident, Critical Illness, Hospital Indemnity and Legal plans.

Why Beacon Trust

When it comes to preserving and growing your wealth, you need an experienced firm to work with you through every financial phase of life, clearly understanding your goals today and tomorrow. No matter what phase you happen to be in, Beacon Trust has the knowledge, experience and services to guide you forward.

Mission Statement

We understand that clients look to us for collaboration and, more importantly, leadership in developing sound and effective wealth management plans. "Innovating Wealth Strategy" articulates what we do and what we believe in.

It speaks to our inherent drive to deepen every client relationship and to make every client’s experience enriching and productive. Since each client is different, so too are the paths to their respective financial goals. That is why we base our asset allocation strategies on 'your' personal financial risk preference - not ours.

Therefore, to successfully guide our clients, it is essential that we have the deepest understanding of what they are looking to accomplish financially, both today and tomorrow.

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