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Job Description:
Job Description:
This role is responsible for providing exceptional client service and coverage to Bank of America Executives.The individual focuses on deepening client relationships to provide best in class service to Bank Executives while achieving business development goals. The role leads the client management process (CMP) and partners across the enterprise to provide a branded client experience (BCE), including access to the full array of Private Bank and Bank of America capabilities and services, to meet specific client needs. This position is subject to SAFE Act registration requirements. Pursuant to the SAFE Act requirements, all employees engaged in residential loan mortgage originations must register with the federal registry system and remain in good standing. Since your position requires SAFE Act registration, you will be required to register and to submit to the required SAFE Act background check and registration process. Failure to obtain and/or maintain SAFE Act registration may result in disciplinary action up to and including termination.Responsibilities:
• Develops an in-depth understanding of clients’ needs, preferences and overall wealth strategy; being responsive to changes in the business environment and/or with client needs
• Leads the CMP (client management process) within the client team to provide exceptional client service while deepening existing relationships and delivering a branded client experience
• Advocates for clients and prospects as their trusted advisor providing integrated recommendations including wealth structuring, credit facilities, banking and asset management
• Encourages use and adoption of digital capabilities to enhance the client and client team experience
• Builds relationships with internal and external partners and centers of influence
• Sources new Bank of America Executive clients in alignment with established risk appetite
• Mentors Private Client Manager I-Executive Coverage and partners with them on more complex relationshipsRequired Skills
• 7+ years of private banking or complex financial services experience OR minimal equivalent of a Bachelor’s degree
• Responsible for driving new business development for target client segment ($3MM++ investable assets)
• In-depth knowledge of at least one of the following areas: investments, trust and wealth transfer, banking or credit; general understanding of all others
• Present to clients a holistic approach, leveraging the entire US Trust platform
• A high touch, client-focused individual with exceptional interpersonal skills
• A leader who recognizes opportunities for client engagement and proactively acts upon them for the betterment of the client
• Ability to influence; proactively asks for and closes business
• Solutions oriented; sales and financial aptitude a must
• Must be a skilled negotiator
• Ability to work and identify the need for team specialists; collaborate closely with other team members
• Takes on a leadership role on the team and within the business community
• Series 7, 63 and 65 (or Series 7 and 66) required (may gain licenses after start - unlicensed candidates may be considered if willing to obtain licenses within 90 days of start date)Desired Skills
• MBA or Post-Graduate Degree preferred
• CFP, CPA, CFA, CTFA, CFM or JD a significant plusSkills Used in this Role:
• Business development
• Prospecting and Qualification
• Oral Communication
• Investment Products and Solutions
• Client team management
• Influencing
• Consulting
• Problem Solving
• Advisory Sales
• Active Listening
• Collaboration
• Transitioning client conversations
• Mentoring
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