Private Wealth Advisor - Plano, United States - BOK Financial

BOK Financial
BOK Financial
Verified Company
Plano, United States

1 week ago

Mark Lane

Posted by:

Mark Lane

beBee recruiter


Description
Req ID: 74506


Location:
Plano -PLAN


Areas of Interest:
Private Wealth Advisor; Wealth Management

Pay Transparency Salary Range:
Not Available

Application Deadline: 05/31/2024

BOK Financial, Headquartered in Tulsa, Oklahoma, BOK Financial Corporation (


NASDAQ:
BOKF) is a top financial services holding company with operations in Oklahoma, Texas, Arizona, Arkansas, Colorado, Kansas, Missouri, Tennessee and New Mexico.

The company began more than 100 years ago in Tulsa and has successfully diversified into a variety of industries, businesses and geographies.


Bonus Type:


  • Formula Based
    Summary:


Do you want to be a true Wealth Advisor for your clients, with the ability to serve clients in our Registered Investment Advisor (RIA) firm or as a Bank of Texas advisor? If you hold securities and/or insurance licenses you may offer securities and other products and solutions through our affiliated broker dealer and the Registered Investment Advisor (RIA).

A career with BOK Financial will provide you opportunities and benefits that can only come from working for a trusted industry leader.

Work with amazing, energetic team members and a company dedicated to your success, growth, and advancement.

You will provide value by being apprised of and anticipating the clients' needs and delivering concierge-style customer service.

Your satisfaction will come from the positive outcomes you provide as a result of your skillful problem-solving and collaborative spirit across various business lines.


  • The Private Wealth Advisor is primarily responsible for developing, maintaining, and expanding relationships with high net worth individuals, families, family businesses and similar entities. BOK Financial has the unique ability to allow our Advisors the autonomy to focus on diverse service offerings, including our RIA offerings, banking solutions and/or our broker dealer options. We encourage our Advisors to utilize an "open architecture" environment with the ability to serve clients using multiple custodians, while collaborating with all other business lines in the bank, and delivering best in class options for our clients. The Advisor is responsible for managing client relationships, including ongoing financial planning (as agreed upon with each client), education, and coaching with a focus on achieving the client's longterm financial goals. Our Advisors also have access to an exceptional Financial Planning team to assist with the planning process for each client's individual needs. Advisors monitor client activity and provide input to the investment analysts responsible for portfolio and asset allocation to achieve the client's investment objectives. The Advisor is also responsible for identifying and developing business opportunities through existing clients, professional referral sources, and networking within the community, while also handling internal referral opportunities.

Team Culture:

Our team culture inspires our entrepreneurial spirit.

It empowers us to act as trusted advisors for our clients and communities while using our discipline and business savvy to make the right decisions.

We are here to serve others and help our clients be successful. We have a strong work ethic and strive to always do the right thing. We are team-oriented and ensure an inclusive work environment. We believe in personal and shared accountability. We treat each other with dignity and respect, value opinions and differences, and talk openly. We give praise, recognize quality work, and pursue excellence.


How You'll Spend Your Time:


  • You will develop and expand client relationships while also servicing internally referred bank clients.
  • You will have the ability to serve clients utilizing our RIA, bank and/or broker dealer solutions to meet your client's needs.
  • You will help manage and monitor client portfolios
  • You will meet with clients and prospects to educate them on BOKF's investment approach and philosophy.
  • You will develop marketing and new business development strategies to meet personal goals.
  • You will represent BOKF to ensure compliance, legal and regulatory requirements.

Education & Experience Requirements:


  • This level of knowledge is normally acquired through completion of a bachelors and 7 years of experience or an advanced postgraduate degree and/or professional certification (JD, CPA, CFA, CFP, etc.), and 5 years of equivalent work experience.
  • Experience in an investment advisory firm environment with significant background in investment strategy, portfolio design and modern portfolio theory.
  • Highly professional appearance.
  • Excellent verbal and written communication skills.
  • Highly organized individual with the ability to work in a fastpaced, team environment.
  • Selfdirected and selfmotivated individual.
  • Good knowledge of Microsoft Office; experience with portfolio accounting systems, CRMs and trade rebalancing software.
  • May carry FINRA licensure.
**Work

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