Senior Investment Officer

Reposted 4 Days Ago
Be an Early Applicant
Hyannis, Barnstable Town, MA, USA
Hybrid
23-23 Annually
Senior level
Fintech • Software • Financial Services
The Role
Manages investment accounts and develops strategies to meet investment goals. Oversees portfolio performance and ensures compliance with financial regulations. Engages in business development and promotes bank products.
Summary Generated by Built In

Salary Grade : 23

SUMMARY:

Manages assigned fee revenue producing investment accounts ranging from moderately sized to large and sensitive personal trust and individual relationships.  With fiduciary accounts, operates within the framework of the underlying document, developing strategies designed to achieve specific investment goals.  Assignments generally involve a high level of client service, in some cases as primary client contact.

The responsibilities associated with the management of individual investment portfolios are a major portion of the duties.  In addition, a significant responsibility is assisting the Chief Investment Officer with the selection and monitoring of the departments’ equity focus list.  The incumbent is required to function as the day-to-day supervisor of various types of investment portfolios including charitable institutions, investment management, and fiduciary accounts.  A basic component of this position is a broad understanding of the capital markets (stocks, bonds, etc.) and the ability to execute timely decisions that are consistent with the investment objectives of accounts supervised.

ESSENTIAL JOB FUNCTIONS & RESPONSIBILITIES:

Investment Management

  1. Analyzes investment portfolios to assure that asset allocation and stock selection are consistent with each client’s long-term investment objectives. 
  2. Communicates with clients and with the organization as a whole (account officer support and new business development).   Responds to client inquiries and concerns in a timely manner.
  3. Ensures that the Equity and Fixed Income segments of portfolios are properly diversified and that investment changes are guided by our overall strategy within the framework of our sector weighted discipline. 
  4. Manages investment activities for assigned accounts, representing moderately sized to large and sensitive high net worth personal trusts, individual investment, and court appointed accounts. 
  5. the nature of the relationship, size, or type of assets managed, sensitive customer issues, and coordinating shared authority with clients/co-trustees. 
  6. Develops, recommends, and directs the execution of programs designed to achieve investment objectives for account relationships utilizing investments on the departments approved list.
  7. Monitors the performance of the clients’ portfolio to ensure it is consistent with their objectives. Maintains continuous contact with the client so as to be aware of any changes in their investment objectives or ability to assume risk.
  8. Maintains extensive contact with personal trust administration officer, customers, co-trustees, consultants, and outside attorneys to ensure communication of trust/agency requirements and coordinate portfolio activity. 
  9. Maintains a current awareness of new investment strategies and instruments through regular contact with the investment community and other industry professionals, as well as through personal research.
  10. Act as primary backup to Investment Securities Trader

    Compliance

    1.   Must maintain current knowledge and understanding of legal, tax and/or legislative changes that affect trust and investment activities.

    2.   Must have knowledge of trustee responsibilities relative to investing trust assets, specific securities laws, OCC Regulation 9 and relevant ethical issues.

    3. Performs all duties in accordance with prescribed regulatory compliance guidelines.

    Business Development

    1. Participates in the development of new investment business with sales staff. 
    2. As part of the role of Bank Officer, promotes the Bank’s products and services in daily interaction with others.
    3. As opportunities arise, promotes additional products and services to existing or prospective customers.
    4. Actively participates in community and professional organizations.

    Team Collaboration

    1. Working in cooperation with other members of the group and a willingness to extend oneself beyond the general demands of the position are essential.  A specific important part of this professionalism includes an ongoing concern for the business success of the organization as a whole.
    2. Represents the Bank through participating in various community and industry related activities.  Actively promotes interest in the Bank wherever and whenever possible.
    3. Participates on various committees on behalf of the business unit.  Provides input and advice on business issues.
    4. Provides any support necessary to promote and support the acquisition of new applicants and customers at the Bank.
    5. Supports the efforts of the senior manager and other department managers in team building with other internal customer contact areas.

    QUALIFICATIONS:

    EDUCATION & CERTIFICATIONS: (Minimum education required to perform the duties of this position)

    • Appropriate professional certifications, e.g. CFA.
    • Bachelor’s degree required; preferably in business, finance or accounting.  Advanced degree a plus.

    KNOWLEDGE, SKILLS & ABILITIES:

    • Knowledge of investment and portfolio management theory, accounting and financial principles, associated investment strategies and instruments, and characteristics of various marketplaces, usually acquired through formal education and work experience, are required to manage portfolios. 
    • Knowledge of investment terminology, the laws and regulations governing trust investments and taxation, as well as the bank’s investment policies, procedures and strategies, usually acquired through work experience and formal education, is required to operate within the framework of trust documents.
    • Along with strong analytical, decision making and communication skills, the position requires personal work habits and attitudes that enhance the overall professional dimension of our organization and contribute directly to successful job performance.  Decision-making, sales, and negotiating skills are required to guide sensitive or difficult situations through to agreement.
    • Decision-making, sales, and negotiating skills are required to guide sensitive or difficult situations through to agreement.

    COMPETENCIES:

    • Must have cyber security awareness to protect the digital environment, the Bank, and customers.

    Equal Opportunity Employer/Protected Veterans/Individuals with Disabilities
    This employer is required to notify all applicants of their rights pursuant to federal employment laws. For further information, please review the Know Your Rights notice from the Department of Labor.

    Skills Required

    • Bachelor's degree in business, finance, or accounting
    • CFA certification
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    The Company
    HQ: Hyannis, Massachusetts
    504 Employees
    Year Founded: 1855

    What We Do

    Cape Cod 5 is a community bank with over $5.7 billion in assets committed to supporting its customers wherever they are – in the world and on their life journey – through its full-service digital offerings or in person at one of its locations throughout Cape Cod, Nantucket, Martha’s Vineyard and Southeastern Massachusetts. Founded in 1855, Cape Cod 5 offers a broad range of financial products and services, including consumer and commercial banking products; residential mortgages; investment management and trust services. We at Cape Cod 5 are deeply committed to the communities we serve. Our dedication to serving our neighbors and local businesses and earning our customers’ trust every day has remained the same since our founding in 1855. We focus on continuously evolving to be our customers’ trusted financial partner in a rapidly changing world, offering sound guidance, accessibility and insight to help support our customers’ financial wellness. Never disclose account information or personal information on LinkedIn. Cape Cod 5 will never ask you for your account information, password, Social Security Number or other identifying information via LinkedIn. This page and Cape Cod 5 links are presented by Cape Cod 5, but the website is controlled by LinkedIn, which established its own privacy and security policies. You are urged to read those polices before processing. Cape Cod 5’s website privacy and security polices do not apply to your activity on LinkedIn.

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