Senior Wealth Advisor - Hybrid

Posted 9 Hours Ago
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Johnson City, TN, USA
Hybrid
300K-300K Annually
Senior level
Financial Services
The Role
Serves as the primary advisor and relationship manager for high-value clients, delivering comprehensive financial planning and wealth management strategies. Responsibilities include retirement, investment, tax, insurance, and estate planning; client retention and business development; asset growth; compliance; CRM documentation; collaboration with internal specialists; and mentoring less-experienced advisors. The role requires CFP certification, extensive wealth management experience, securities licenses, strong relationship-building skills, and leadership.
Summary Generated by Built In

 The Senior Wealth Advisor serves as the primary relationship manager for high-value and complex client relationships, delivering comprehensive, goals-based financial planning and wealth management solutions. This role combines advanced financial planning expertise with proactive business development, relationship management, strategic judgment, and high standard of client service. The Senior Wealth Advisor partners closely with internal specialist and external referral partners to help clients build, grow, and protect their wealth through tax-aware investment strategies aligned with their long-term objectives. This role is accountable for developing and maintaining strong client relationships, converting prospective clients into long-term relationships, mentoring less experienced advisors, and consistently executing the firm’s client service and planning standards. Success in this role requires professionalism, ownership, collaboration, leadership, and a commitment to continuous improvement. Senior Wealth Advisors are expected to lead by example, demonstrate strong business development results, and contribute to the growth and reputation of the firm.

 Core Responsibilities: 

Advanced Client Relationship & Advisory 

  • Serve as lead advisor and primary relationship manager for high-value and complex client relationships 
  • Deliver advanced financial planning strategies across retirement, investments, tax, insurance, and estate planning consideration 
  • Develop a deep understanding of client goals, priorities, and financial circumstances to provide personalized planning guidance 
  • Proactively anticipate client needs and provide strategic guidance during life events, market transitions and evolving financial situations 
  • Conduct client review meetings and ongoing plan updates to ensure financial plans remain aligned with client objective and long-term goals. 
  • Maintain consistent, proactive engagement across assigned client relationships while delivering a high standard of responsiveness, professionalism, and client service. 
  • Lead by example through strong relationship management, accountability, and adherence to firm standards. 
  • Provide mentorship and support to less experienced advisors and contribute to a collaborate team environment. 

 Financial Planning & Wealth Management Cetera Job Description 

  • Develop and maintain comprehensive financial plans for high-value and complex client relationships covering retirement, investment, tax-aware strategies, insurance, and estate considerations 
  • Utilize approved planning tools and firm resources to deliver accurate, timely, and strategic financial planning recommendations aligned with client objective 
  • Provide guidance on complex and time-sensitive planning needs, including retirement income planning, charitable giving strategies, RMDs, and multi-generational planning considerations 
  • Review portfolio activity, financial plans, and evolving client circumstances to identify risks, opportunities, and planning consideration 
  • Ensure financial plans remain current, comprehensive, and aligned with client objectives and long-term goals 

Business Development & Leadership 

  • Generate new client opportunities through referrals, centers of influence, personal networking, and community engagement 
  • Convert prospective clients into long-term client relationships using established discovery and planning processes 
  • Build and maintain strong relationships with clients, referral partners, and centers of influence to support long-term business growth 
  • Contribute to asset growth through client retention, asset consolidation, and net new asset acquisition 
  • Lead by example through proactive business development activity, relationship management, and consistent execution of firm standards 
  • Provide mentorship, guidance, and support to less-experienced advisors and contribute to a collaborative team environment 
  • Participate in firm initiatives, educational events, and business development activities that support the growth and reputation of the firm 

Collaboration & Oversight 

  • Collaborate closely with internal teams including client service, tax, investment, trading, and operations to deliver a coordinated and consistent client experience 
  • Lead planning, preparation, and execution of client review meetings, follow-up items, and ongoing service requests for assigned relationships 
  • Coordinate account opening, documentation, and complex service requests in a timely and accurate manner 
  • Maintain accurate, timely, and complete CRM documentation, including client notes, tasks, opportunities, and lead status 
  • Follow and reinforce established firm workflows, service standards, and operational procedures 
  • Support less-experienced advisors through collaboration, knowledge sharing, and mentorship 

Compliance & Professional Development 

Strategic & Operational Excellence 

  • Adhere to all firm policies, procedures, and regulatory requirements 
  • Maintain current knowledge of market trends, financial planning strategies, and industry regulations 
  • Complete required continuing education, training, and licensing requirements
  • Demonstrate professionalism, accountability, and commitment to continuous learning and development. 
  • Lead by example in maintaining high standards of client service, operational discipline, and compliance practice 

Required Knowledge, Skills, and Abilities: 

  • Advanced knowledge of financial planning, investment, and wealth management strategies 

  • Strong understanding of regulatory requirements, firm policies, and compliance standards • Strong leadership, influence, and relationship-building skills 

  • Ability to manage complex client scenarios, competing priorities, and sensitive client situations with professionalism and sound judgment 

  • Proficiency with financial planning tools, CRM systems, and business applications 

  • Strong organizational skills with the ability to manage priorities, follow through on commitments, and maintain attention to detail 

  • Ability to collaborate effectively within a team-based service model and contribute to mentorship and advisor development 

  • CFP® certification required 

Desired Knowledge, Skills, and Abilities: 

  • Experience working with high-net-worth and complex client relationships 
  • Demonstrated success in business development, client retention, and asset growth 
  • Existing professional referral relationships and centers of influence 
  • Advanced tax-aware, retirement, estate, and multi-generational planning strategies 
  • Experience mentoring or supporting less-experienced advisors within a collaborative team environment 
  • Demonstrated track record of business development and client retention 

Minimum Required Education & Experience: 

  • Bachelor's degree in finance or a related field or equivalent. 
  • A minimum of 8+ years of experience in wealth management or financial advisory roles 
  • FINRA Series 7 and 66 (or 65/63 combo) if dual registered 
  • Series 65 (RIA only) 
  • Insurance licenses (Life, Health, Long-Term Care), as applicable but preferred 

Travel Requirements: Located outside of market – up to 50%; located inside market – up to 25%

Compensation: Total annual target compensation of up to approximately $300,000 (includes base salary draw and variable target-based incentives if conditions are achieved, as determined under the Company's compensation plans).  Actual earnings may be more or less than target and depend on individual performance, business conditions and plan terms.

Skills Required

  • Bachelor's degree in finance or a related field, or equivalent experience
  • At least 8 years of experience in wealth management or financial advisory roles
  • CFP certification
  • FINRA Series 7 and Series 66 licenses, or Series 65 and 63 combination, if dual registered
  • Series 65 license for RIA-only registration
  • Life, Health, and Long-Term Care insurance licenses, as applicable
  • Advanced knowledge of financial planning, investment, and wealth management strategies
  • Strong understanding of regulatory requirements, firm policies, and compliance standards
  • Strong leadership, influence, and relationship-building skills
  • Ability to manage complex client scenarios, competing priorities, and sensitive client situations
  • Proficiency with financial planning tools, CRM systems, and business applications
  • Strong organizational skills and attention to detail
  • Ability to collaborate effectively and mentor less-experienced advisors

Cetera Financial Group Compensation & Benefits Highlights

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

  • Healthcare Strength Health coverage is described as comprehensive, including medical, dental, vision, mental‑health support, and optional pet insurance. Feedback suggests the breadth of coverage is a relative strength.
  • Leave & Time Off Breadth Time off includes a sizable PTO allotment with paid holidays, a dedicated wellness day, and a paid volunteer day. Feedback suggests the time‑off package exceeds basic employer offerings.
  • Retirement Support Retirement support includes a 401(k) with company match and access to one‑on‑one financial planning. Feedback suggests the retirement program can be competitive, though specifics may depend on role or plan.

Cetera Financial Group Insights

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The Company
HQ: San Diego, CA
1,129 Employees
Year Founded: 1981

What We Do

Cetera Financial Group empowers the delivery of professional financial advice to individuals, families and company retirement plans across the country. We support independent and institutions-based advisors, tax professionals, and bank and credit union investment programs, ensuring they have the objective research, regulatory guidance, technology, tools and resources they need to help them and their clients pursue their dreams for the future. While our multiple distinct firms allow us to customize how we serve the needs of each advisor and investment program, all are united through our exclusive Advice-Centric Experience™, which makes the delivery of financial insight and advice more efficient, more transparent, and more human. Cetera Financial Group” refers to the network of independent retail firms encompassing, among others, Cetera Advisors LLC, Cetera Advisor Networks LLC, Cetera Investment Services LLC (marketed as Cetera Financial Institutions or Cetera Investors), Cetera Financial Specialists LLC, and First Allied Securities, Inc. All firms are members FINRA / SIPC. Individuals affiliated with Cetera firms are either Registered Representatives who offer only brokerage services and receive transaction-based compensation (commissions), Investment Adviser Representatives who offer only investment advisory services and receive fees based on assets, or both Registered Representatives and Investment Adviser Representatives, who can offer both types of services

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