Financial Advisor

Posted 9 Days Ago
Be an Early Applicant
Cincinnati, OH
110K Annually
Junior
Financial Services
The Role
As a Financial Advisor, you will evaluate customer financial needs, develop investment strategies, stay updated on market conditions, provide training to branch staff, and conduct client workshops while managing existing client accounts and ensuring their investment goals are met.
Summary Generated by Built In

Join a Winning Team!

  • Are you passionate about helping people prepare financially for their future?
  • Do you possess a broad knowledge of financial products and services?
  • Would you like to work at a multi-faceted, dynamic organization that thrives on teamwork and collaboration?

Through its relationship with CUSO Financial Services, L. P. (CFS) Kemba Credit Union is seeking a Financial Advisor to provide retirement and investment services to its member base in and around the Cincinnati, OH area.
Founded in 1934 by a group of Kroger employees, Kemba provides personal and business banking services to more than 130,000 members. Membership is open to anyone who lives or works in the Greater Cincinnati area. Kemba has been named a Top Workplace in Cincinnati since 2019 and Top Workplace in the USA in 2022 and 2024. By the end of 1939, the assets of the credit union had grown to $110,000. Today, after over 90 years of progress and growth, Kemba has over $2.1 billion in assets and provides a solid financial background making it possible to supply the best products and services technology has to offer. Kemba continues to build on a foundation for success through strength, stability, integrity and trust. The board and management staff are committed to offering the best personal service possible. Providing quality service to the membership is what Kemba is all about.
As a Financial Advisor your responsibilities include, but are not limited to, the following:

  • Identifies and evaluates customer needs for financial services, assess the objectives and goals of the individual, then develops an investment strategy to implement.
  • Stays current and analyzes market conditions and otherwise educating and updating themselves about financial and investment vehicles in the market and the tax and securities consequences to clients with particular investments. Attends training and/or completing required continuing education and keeps current on investment products and services offered. Meets regularly with Program Manager and trains, if necessary, with Program Manager.
  • Drives investment and program integration initiatives with credit union and/or assigned bank program (includes branch personnel training). Actively engages assigned branch staff on a regular basis as well as other key areas within the CU. Provides ongoing training and coaching of staff to increase the quality and quantity of member leads to the investment team. Provides regular feedback to the branch employees, identified credit union executives and sales manager regarding sales practices and business development initiatives. Work with Financial Center Managers to identify and leverage cross-sell opportunities.
  • Services and performs periodic reviews of existing client accounts and meets with clients periodically to review and update client needs ensuring investment objectives and goals are progressing according to plan. Meetings to take place either monthly, quarterly and/or yearly depending on client needs established by Representative.
  • Remains visible to the appropriate segments of the public to meet and to retain potential new clients for CFS, including conducting client workshops/seminars on various topics (i.e., Social Security, Education planning, Retirement planning, etc.)


Required Qualifications:

  • Active Series 7, 63/65 (or 66) licenses along with Life, Accident & Health licenses
  • Clean U-4 and Background
  • Two or more years of sales experience in the financial services industry, preferably in a bank or credit union
  • Excellent communications skills, both verbal and written, necessary to provide exceptional service to all members/clients and enthusiastically promote the investment program to internal partners and an external network you develop
  • Experience and aptitude with working with a broker-dealer technology, i.e., electronic order entry systems, DocuSign, etc. to process business, as well as the use of a CRM to document all interactions and activities
  • Commitment to supporting, and contributing to, a team-oriented culture


Desired Qualifications

  • Undergraduate Degree in Business, Finance, or related field
  • Certified Financial Planner (CFP) designation a plus
  • Experience delivering high quality service in all interactions with clients, prospective clients, and staff within a financial institution environment
  • An advanced level of performance and work ethic requiring minimum supervision

EOE
**Representatives are employed by and registered through CFS (Member FINRA/SIPC). To learn more about CUSO Financial Services, L.P. visit www.cusonet.com.
CFS (Member FINRA/SIPC) is a registered broker-dealer and SEC Registered Investment Advisor with a stable, 25-year track record of serving the investment needs of credit unions and their members. We’re ranked as one of the top broker-dealers in the industry and we work with some of the top financial institutions in the country.

The Company
HQ: New York, NY
100 Employees
On-site Workplace
Year Founded: 2017

What We Do

Atria Wealth Solutions, Inc. (Atria) is a wealth management solutions holding company focused on delivering a clear path to the future of financial advice for financial professionals, financial institutions and their clients. Headquartered in New York City, Atria’s broker-dealer subsidiaries empower financial institutions and independent financial professionals with a sophisticated set of tools, services, and capabilities that deepen client relationships and maximize efficiencies in their practices.

Atria’s broker-dealer subsidiaries include CUSO Financial Services, L.P., Sorrento Pacific Financial, LLC, Cadaret Grant & Co., Inc., NEXT Financial Group, Inc., Western International Securities, Inc., and SCF Securities, Inc. Atria’s subsidiaries together support nearly 2,500 financial professionals and more than 200 financial institutions with over $100 billion of assets under administration.

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