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Licensed Assistant

Job Category: Administrators
Job Type: Full Time

Delivers a high level of client service by:

  • Supporting advisor with the review of client portfolios to ensure alignment with risk profile and applicable investment programs
  • Gathering research and product information from internal and external sources
  • Entering client trades as directed by client and/or advisor
  • Staying up-to-date with regulatory rules and trading activities regarding client accounts

Ensures effective client administration by:

  • Following up with clients on missing documentation as per industry regulatory requirements
  • Maintaining client files and information
  • Ensuring daily trades and system account entries are timely and accurate
  • Responding to client inquiries in a professional and responsive manner
  • Resolving issues and implementing client transactions expeditiously and accurately
  • Issuing instructions for client withdrawals, deposits, swaps and transfers
  • Ensuring all client interactions are accurately documented
  • Understanding the required documentation for all client account types

Provides marketing assistance to the advisor by:

  • Identifying opportunities to acquire additional assets and/or increase revenue with existing clients (e.g. referrals, consolidation of assets, insurance, etc.)
  • Developing, distributing and maintaining marketing materials
  • Organizing client events and sponsorship activities

Supports the growth of the advisor business by:

  • Assisting in idea generation
  • Reviewing daily commission reports and following up on unpaid commissions
  • Preparing, analyzing and presenting reports, marketing concepts, insurance plans, annual trading summary, etc.
  • Recommending ways to provide additional value to clients and increase office efficiencies

Contributes to the effective functioning of the team by:

  • Building effective working relationships across the team and with corporate head office
  • Maintaining a high level of client service standards
  • Facilitating a culture of open and honest communication
  • Actively participating and contributing to team meetings
  • Encouraging the generation of new ideas and process improvements
  • Actively sharing knowledge and experience to enhance the development of all team members
  • Committing to professional development

Educational Requirements

  • Canadian Securities Course (CSC)
  • Conduct and Practices Handbook course (CPH)
  • Investment Representative Training (IRT)
  • Post-secondary education

Working Conditions
The role operates within a standard office environment.  Seminars and client/prospect events are often held in the evening which may require a longer than usual working day. The office is a fast-paced, often high stress, environment with multiple demands.

 

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Disclaimer

iA Private Wealth Inc. is a member of the Canadian Investor Protection Fund and the Canadian Investment Regulatory Organization. iA Private Wealth is a trademark and a business name under which iA Private Wealth Inc. operates.

This is not an official website or publication of iA Private Wealth and the information and opinions contained herein do not necessarily reflect the opinion of iA Private Wealth. The particulars contained on this website were obtained from various sources which are believed to be reliable, but no representation or warranty, express or implied, is made by iA Private Wealth, its affiliates, employees, agents or any other person as to its accuracy, completeness or correctness. Furthermore, this website is provided for information purposes only and is not construed as an offer or solicitation for the sale or purchase of securities. The information contained herein may not apply to all types of investors. The Investment Advisor can open accounts only in the provinces where they are registered.
Products and services provided by third parties, including by way of referral, are fully independent of those provided by iA Private Wealth Inc. Products offered directly through iA Private Wealth Inc. are covered by the Canadian Investor Protection Fund, subject to exception. iA Private Wealth Inc. does not warrant the quality, reliability or accuracy of the products or services of third parties. Please speak to your advisor if you have any questions.

The information on this web site is intended for use by persons resident and located in Canada only.

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