Senior Private Wealth Client Executive I/II

Posted Yesterday
Be an Early Applicant
5 Locations
In-Office or Remote
Senior level
Financial Services
Serving the financial needs of families, businesses and communities for over 135 years
The Role
Leads a team of 5–7 associates and manages approximately 800 private wealth accounts. Oversees client fund administration, transactions, account onboarding and closures, documentation, fees, asset movements, policy compliance, risk escalation, and approvals. Coordinates with wealth advisors, operations, risk management, clients, and third parties. Drives staff development, committee participation, process improvement, and special operational projects while ensuring accurate and timely account administration.
Summary Generated by Built In
Overview

This position may be filled as a Level I or II.  Additional responsibilities and qualifications apply.


The purpose of this job is to manage a team of associates and the assigned books of business (approximately 800 accounts for the team) to ensure the effective administration of all accounts assigned to the team.

Responsibilities
  • Cross-train, lead and develop team of associates to promote maximum productivity, engagement, succession planning and overall contribution to the strategic organizational goals.
  • Managing 5-7 associates at varying levels of experience to ensure quality client service and effective account administration.
  • Managing assigned individual portfolio of accounts within the confines of applicable policies and procedures.
  • Coordinate key transactions with Tailored Wealth Firm Operations and serve a liaison for team support in Tailored Wealth Firm Operations as well as work with WM Risk Management on identified issues within assigned team's accounts.
  • Daily administration of client funds, asset positions and transaction requests, including funds receipts, disbursements and asset movements.
  • Actively serve as a member of multiple chartered committees and the Administrative Working Group.
  • Ongoing oversight of transactions and accounts under purview and escalate where necessary including routine approvals over $250,000.
  • Internal and external interaction, collaboration and communication with the Private Wealth Advisors, Firm Operations, TW Special Assets, WM Risk Management, team members, clients and third parties.
  • Accurately, timely and completely reviewing assigned accounts, including all relevant documentation, as stated by policy and procedure.
  • Onboarding and/or closing accounts completely and accurately including document fulfillment, proper fee setting, and collaboration with Firm Operations on funding and asset movement.
  • Supporting the organizational unit and Wealth Management division as requested for projects or special operational events.
  • Ongoing review of process improvements for efficiency.
  • Perform additional duties as assigned.
Qualifications

Senior Private Wealth Client Executive I Qualifications: 

  • At least one of the following:
    • Graduate of Trust School plus 6 years of experience in the administration of the type of accounts and clients related to the organizational unit; or
    • Bachelor’s Degree in a business-related field plus 10 years of experience in the administration of the type of accounts and clients related to the organizational unit; or
    • Graduate Degree in a field related to the function of the organizational unit plus 7 years of experience in the administration of the type of accounts and clients related to the organizational unit or in a field related to the graduate degree; or
    • Ten years or more experience in the practice of law or professional accounting
  • Able to demonstrate at least an advanced level of knowledge of the types, complexity, respective governance, transactions and industry practices of the clients and accounts administered by the organizational unit
  • Propensity to show managerial skills
  • Must be able to demonstrate an advanced level of Microsoft Office knowledge
  • Excellent time management skills with a detail-oriented diligence given toward tasks
  • Excellent verbal and written communication skills
  • Ability to interpret and define the applicable policies, procedures, federal and state laws, statutes, and regulations for effective and accurate account administration
  • Ability to communicate intelligently with internal and external stakeholders, clients and third parties
  • Must complete and comprehend SEI PLATO training assigned for the role
  • Must be willing to commit to external training as required. 
  • Certified Trust and Financial Advisor (“CTFA”) or other Certification within the field of the organizational unit preferred
  • Juris Doctor preferred
  • CPA preferred

Senior Private Wealth Client Executive II Qualifications:

  • At least one of the following:
    • Graduate of Trust School plus 10 years of experience in the administration of the type of accounts and clients related to the organizational unit; or
    • Bachelor’s Degree in a business-related field plus 12 years of experience in the administration of the type of accounts and clients related to the organizational unit; or
    • Graduate Degree in a field related to the function of the organizational unit plus 10 years of experience in the administration of the type of accounts and clients related to the organizational unit or in a field related to the graduate degree; or
    • Twelve years or more experience in the practice of law or professional accounting.
  • The associate must be able to demonstrate at least an expert level of knowledge of the types, complexity, respective governance, transactions and industry practices of the clients and accounts administered by the organizational unit.
  • Management Experience of 3 to 5 years.
  • Certified Trust and Financial Advisor (“CTFA”) or other Certification within the field of the organizational unit preferred
  • Juris Doctor preferred
  • CPA preferred

Physical Requirements/Working Conditions: Must be able to sit for long periods of time and use computer keyboard and/or mouse, while viewing computer screens.


Note: This is a brief description of this position and is not limited to those described herein. Management retains the right to add, delete or modify any of these responsibilities at any time during employment.


Trustmark Bank does not accept unsolicited resumes from agencies and/or search firms for any job postings on this site.  Resumes submitted to any Trustmark Bank employee by a third-party agency and/or search firm without a valid, written search agreement signed by Trustmark, will become the sole property of Trustmark Bank.  No fee will be paid if a candidate is hired for a position as a result of an unsolicited agency or search firm referral.

Skills Required

  • Trust School graduate plus 6 years of relevant account and client administration experience for Level I
  • Bachelor’s degree in a business-related field plus 10 years of relevant experience for Level I
  • Graduate degree in a related field plus 7 years of relevant experience for Level I
  • At least 10 years of law practice or professional accounting experience for Level I
  • Trust School graduate plus 10 years of relevant account and client administration experience for Level II
  • Bachelor’s degree in a business-related field plus 12 years of relevant experience for Level II
  • Graduate degree in a related field plus 10 years of relevant experience for Level II
  • At least 12 years of law practice or professional accounting experience for Level II
  • Advanced knowledge of account types, complexity, governance, transactions, and industry practices
  • Expert knowledge of account types, complexity, governance, transactions, and industry practices for Level II
  • Management experience of 3 to 5 years for Level II
  • Advanced Microsoft Office knowledge
  • Strong time management and attention to detail
  • Excellent verbal and written communication skills
  • Ability to interpret and apply policies, procedures, laws, statutes, and regulations
  • Ability to communicate effectively with internal and external stakeholders, clients, and third parties
  • Completion of assigned SEI PLATO training
  • Willingness to complete required external training
  • Certified Trust and Financial Advisor certification or another relevant certification
  • Juris Doctor degree
  • CPA certification

Trustmark Bank Compensation & Benefits Highlights

The following summarizes recurring compensation and benefits themes identified from responses generated by popular LLMs to common candidate questions about Trustmark Bank and has not been reviewed or approved by Trustmark Bank.

  • Retirement Support — Offerings include a 401(k) with company match and an employee stock purchase plan, supporting long‑term savings and retirement readiness.
  • Leave & Time Off Breadth — Paid vacation, sick leave, and defined holidays provide predictable time away and help balance work and life.
  • Wellbeing & Lifestyle Benefits — Banking perks, tuition reimbursement, and structured training and development add non‑cash value beyond base pay.

Trustmark Bank Insights

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The Company
HQ: Jackson, Mississippi
2,176 Employees
Year Founded: 1889

What We Do

Trustmark is a financial services company providing banking and financial solutions through offices in Alabama, Florida, Georgia, Mississippi, Tennessee and Texas. Equal Housing Lender | Member FDIC Privacy Policy: www.trustmark.com/privacy.html

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