Lead acquisition, management, and servicing of UHNW and HNW clients by selling and advising on PMS, AIFs, bonds, mutual funds, and stock market strategies including algorithmic trading. Develop and execute sales strategies, build client relationships, meet sales targets, mentor a team, ensure regulatory compliance, and provide portfolio construction, risk management, and wealth preservation guidance.
Job
Overview:
Findoc is seeking an experienced and dynamic Manager of
Premier Client Group (PCG) Desk to join our team. This individual will be
responsible for acquiring, managing, and servicing Ultra High Net Worth
Individuals (UHNWIs) by offering a wide range of wealth management solutions.
The ideal candidate will have a thorough understanding of financial products
such as PMS, AIF, bonds, mutual funds, and stock market offerings, including
algo trading.
Key Responsibilities:
Client Acquisition & Business Development:
- Drive
the acquisition of UHNWIs and HNWIs, creating tailored wealth management
strategies to meet their unique financial needs.
- Promote
and sell large portfolios, including our and third party PMS (Portfolio
Management Services), AIF (Alternative Investment Funds), bonds, mutual
funds, and other investment products.
- Build
relationships with clients, understand their financial goals, and position
Findoc’s offerings as optimal solutions to their needs.
- Develop
and execute a comprehensive sales strategy to expand the PCG business,
leveraging personal networks, industry contacts, and market intelligence.
- Manage
the sales process for large-ticket AIF investments, offering expert
guidance on portfolio construction and diversification.
Client Relationship Management:
- Serve
as the primary point of contact for UHNW clients, ensuring an exceptional
experience across all touchpoints.
- Provide
timely and accurate solutions to client queries and concerns, ensuring
high levels of client satisfaction and retention.
- Regularly
meet clients to review their portfolios, discuss market trends, and
suggest adjustments based on evolving financial goals and market
conditions.
- Cross-sell
a wide range of financial products (PMS, AIF, bonds, mutual funds, etc.)
to existing clients, maximizing business opportunities.
Investment Product Expertise:
- Maintain
a deep understanding of various financial products such as PMS, AIFs,
bonds, and mutual funds, and be able to communicate their features and
benefits effectively to clients.
- Stay
updated with developments in the stock market, including trading
strategies, new investment products, and regulatory changes.
- Have
hands-on experience with stock market trading, including an understanding
of algorithmic trading, and leverage this knowledge to guide clients in
structuring their investment portfolios.
- Guide
clients on risk management strategies, portfolio diversification, and
wealth preservation techniques.
Sales & Performance Metrics:
- Set
and achieve sales targets for bringing in new business and expanding
existing client portfolios.
- Regularly
track and report sales performance, client acquisition, and retention
metrics to senior management.
- Analyze
market trends and competitor offerings to identify new business
opportunities and growth areas.
Compliance & Risk Management:
- Ensure
all client dealings and financial transactions are compliant with
regulatory requirements and internal policies.
- Work
closely with the compliance team to ensure that all wealth management
strategies adhere to legal and ethical standards.
- Ensure
the team is aligned with risk management protocols and is well-informed on
market volatility and client risk tolerance.
Requirements
Experience:
- Minimum
5 years of experience in wealth management, financial product
distribution, or stock market sales, with a focus on UHNWIs and HNWIs.
- Proven
track record in selling large portfolios, AIF tickets, and managing
high-value relationships.
- Expertise
in various financial products such as PMS, AIF, bonds, mutual funds, and
experience with stock market investments and algo trading.
- Experience
in both banking and broking environments, managing Premier Clients, will
be highly preferred.
Educational Background:
- Bachelor's
degree in Finance, Economics, Business Administration, or a related field.
- Additional
certifications such as CFA, CFP, or equivalent are an advantage.
Skills & Competencies:
- Strong
sales and business development skills, with a proven ability to build
relationships and drive revenue.
- In-depth
knowledge of wealth management products, investment strategies, and market
dynamics.
- Hands-on
experience with stock market trading and understanding of algorithmic
trading strategies.
- Exceptional
communication, negotiation, and interpersonal skills, with the ability to
build trust with clients.
- Leadership
skills, with experience in managing, mentoring, and motivating a team.
- Strong
analytical and problem-solving abilities, capable of understanding complex
client needs and providing tailored financial solutions.
- Ability
to work under pressure and meet sales and business growth targets.
Personal Attributes:
- Client-focused
with a high level of professionalism and integrity.
- Self-motivated,
results-driven, and capable of operating independently as well as part of
a team.
- Entrepreneurial
mindset with the ability to drive business growth in a competitive market.
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