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Branch Banking-Client Consultant II-Licensed

CFA Institute
Scottsdale, Arizona, US
$28,6 an hour
Full-time

Position Title

Interested in this role You can find all the relevant information in the description below.

Branch Banking-Client Consultant II-Licensed

Location

Scottsdale / 8764 E. Shea Boulevard / 110664

Job Summary

The Branch Banking Client Consultant II-Licensed provides best in class experience by resolving concerns and providing various product details that focus on meeting the financial needs of our clients.

Focuses on client management, client retention, and introductions to key bank partners (Mortgage, Business Banking) to ensure our clients have access to experts who can help them achieve their financial goals.

This position will have greater lending and basic investment interactions and will participate in more complex banking conversations with clients.

Pay Range : $19.13-$23.92-$28.60

Job Responsibilities :

Sales Performance : Support team efforts to achieve growth targets in financial performance (outstanding deposits, outstanding loans, non-interest income) and primary client acquisition.

Actively seek and deliver the right client introductions to the right team member(s) to achieve growth targets and execute successful sales initiatives.

Client Experience : Provide positive client experience by assisting with account questions, problems and / or complaints and through research and communication resolve in a timely and effective manner.

Deliver client engagement and education. Meet behavioral activity goals as defined by Retail Leadership including, but not limited to, NextGen and marketing campaign lead calling, weekly appointments set, weekly appointments completed and needs met.

  • Risk Management : Execute all sales, service, and banking transactions accurately and compliantly. Strive for no controllable losses.
  • Perform more moderately complex special projects, and additional duties and responsibilities as required.
  • Consistently adhere to regulatory and compliance policies and standards linked to the job as listed and complete required compliance training.

Accountable to maintain compliance with applicable federal, state, and local laws and regulations.

  • Demonstrate ability to attain sales and referral goals through preset appointments and quality conversations leading to recommendations that support clients' financial goals and objectives, leveraging phone and in-person appointments.
  • Engage in discovery-based conversations and provide customized financial advice by referring to Financial Consultants.

Job Requirements :

  • Education level required : High School / High School Equivalency (GED, HiSET, TASC) / Foreign Equivalent.
  • Minimum experience required : 4 - 5 years customer service and sales experience, including in the financial services industry.
  • Requires National Mortgage Licensing System (NMLS) registration under the terms of the S.A.F.E. Act of 2008 and Regulation Z.
  • Ability to train and mentor others, including products and platform procedures.
  • Life and Health Insurance Licenses (required within the first 90 days in role. Failure to pass exam / or no attempt to take exam will result in removal from LBE program).
  • FINRA Security Industry Essentials (SIE) (required within 90 days of passing the Life and Health Insurance exam. Failure to pass exam / or no attempt to take exam will result in removal from LBE program).
  • FINRA License Series 6 (required within 90 days of passing Security Industry Essentials exam. Failure to pass exam / or no attempt to take exam will result in removal from LBE program).
  • FINRA License Series 63 or Series 66 (required within 90 days of passing the Series 6 exam).
  • Experience in financial services industry, preferred.
  • Experience with using and demonstrating digital products and self-service technologies, preferred.

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1 day ago
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