Private Wealth Client Associate

Bank of America Bank of America · Banking · Los Angeles, CA

This role supports Financial Advisors in a Private Wealth Client Associate position at Bank of America, focusing on client service, operational excellence, and risk management within the fintech domain. It involves client relationship management, promoting banking offerings, and ensuring adherence to bank policies and procedures. The role requires strong client-centric skills and may involve obtaining FINRA certifications.

What you'd actually do

  1. Provides excellent Client Service to the bank's clients through educating them on all of the bank's service and banking offerings
  2. Ensures timeliness, accuracy, and completeness in client materials and follows up on all client and Financial Advisor (FA) requests
  3. Assists with ensuring practices are in alignment with the bank's policies and procedures to support operational excellence, protect the bank's clients, and manage risk
  4. Identifies, deepens, and maintains client relationships through emphasizing the bank's offerings and promoting incorporation of banking into day-to-day practices, while communicating outputs to the FA
  5. Supports day-to-day team activities and needs including covering roles in times of absence or seasonal need increases, while leading with a client first mindset

Skills

Required

  • Account Management
  • Client Management
  • Customer and Client Focus
  • Issue Management
  • Oral Communications
  • Business Development
  • Client Solutions Advisory
  • Pipeline Management
  • Prioritization
  • Administrative Services
  • Emotional Intelligence
  • Referral Identification
  • Written Communications
  • Microsoft Word
  • Excel
  • PowerPoint
  • Salesforce

Nice to have

  • FINRA Securities Industry Essentials (SIE), Series 7, and/or Series 66
  • industry knowledge and an understanding of investment products
  • experience working with clients
  • comfortable operating in a fast-paced environment
  • detail oriented
  • commitment to continuous learning and professional growth
  • sound judgment and discretion

What the JD emphasized

  • FINRA Securities Industry Essentials (SIE), Series 7, and/or Series 66
  • FDIC and FINRA