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Investment Client Care Brokerage Services Representative

SunTrust Investment Services, Inc.

Job Title

This is an on-site position. Location options are Charlotte, NC; Orlando, FL; Atlanta, GA. Brokerage Service Representatives are a part of Investment Client Care (ICC) which acts as the service support team for Self-Directed, Centralized Advisor Center (CAC) assigned and Signature Advantage brokerage clients via phone. Teammates are responsible for answering client inquiries with a professional attitude and manner while adhering to measurable departmental goals.

Essential Duties and Responsibilities Following is a summary of the essential functions for this job. Other duties may be performed, both major and minor, which are not mentioned below. Specific activities may change from time to time.

  • Provide service support via phone to self-directed brokerage clients as well as Financial Advisor assigned account holders, referring more complex issues to management for guidance and/or resolution.
  • Proficient understanding of product knowledge and continuously developing client service skills.
  • Research account and transaction records to resolve discrepancies, answer questions or provide documentation on client activities.
  • Conduct outbound client calls as a follow up and resolution to inquiries.
  • Assist clients with completing investment forms, transferring funds, and completing distributions.
  • Answer inquiries related to tax documents, trade confirmations, and monthly investment statements.
  • Act as priority contact number for assisting clients with questions regarding the Digital Investment platform (currently WealthScape - future Scivantage).
  • Refer investment opportunities to internal Client Advisory Center when aligns with clients financial needs.
  • Maintain knowledge of industry regulations related to products and continuing education requirements required by FINRA.
  • Serve as an advocate of the client while balancing risk.

Required Qualifications: The requirements listed below are representative of the knowledge, skill and/or ability required. Reasonable accommodations may be made to enable individuals with disabilities to perform the essential functions.

  • Hold FINRA Series 7 & Series 63 or 66 and maintain continuing education coursework to keep licenses in good standing. (Candidates will be considered if they have at least 1 of the required licenses and can obtain the additional licenses during employment)
  • Proficiency in written and verbal communications
  • Proficient using basic computer applications, such as Microsoft Office software products
  • Two or more years of call center experience or high volume, fast paced work environment
  • Experience with brokerage and digital applications such as WealthScape, Advisor Desktop, Cashiering, SNAP, and Channelink
  • High school diploma or equivalent certification

Preferred Qualifications:

  • Bachelor's degree in relevant banking/business field
  • Two or more years of Investment Industry knowledge and/or experience
  • Additional FINRA and Insurance Licenses
Vacancy posted more than 2 months ago

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