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Solyco Capital

Wealth Operations & Compliance Associate

Career Insights for Scheduler / Operations Coordinator

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Based on Michigan data

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What they do

A Scheduler or Operations Coordinator provides scheduling and logistical support for an office, company or organization. May specialize in scheduling required for production or for administrative work.

$51,331 / year median in Michigan

+7% projected growth

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Job Description

Wealth Operations & Compliance Associate at Solyco Capital Wealth Operations & Compliance Associate at Solyco Capital in Franklin, Michigan Posted in 1 day ago.

Type:

full-time

Company Description:

Solyco Capital is a private equity group that provides capital solutions for late-stage startups and growth companies. The firm focuses on partnering with innovative businesses that are poised for significant expansion. By leveraging Solyco Advisors, Solyco Capital offers strategic, sales, and operational support to help portfolio companies achieve strong performance. Team members benefit from exposure to dynamic, high-growth environments and a collaborative, entrepreneurial culture.

Role Description:

The Wealth Operations & Compliance Associate is a full-time, on-site role based in Birmingham, MI. This role provides operational, administrative, and compliance support to the Wealth Advisory team. This role is responsible for assisting with client onboarding, account administration, regulatory documentation, and day-to-day office operations while helping ensure adherence to internal policies and applicable regulatory requirements. Working closely with Wealth Advisors and the Compliance team, this individual plays an important role in delivering exceptional client experience while supporting efficient business operations.

Key Responsibilities:

Serve as a primary point of contact for routine client service and administrative needs, including meeting coordination and follow-up. Support account openings, transfers, beneficiary changes, account maintenance, and other client requests from initiation through completion. Maintain accurate client records and documentation within CRM and document management systems. Coordinate with custodians, third-party vendors, advisors, and internal teams to support day-to-day Wealth Advisory operations. Support client onboarding and compliance requirements, including KYC, AML, disclosures, and other required documentation. Review and maintain client files to support compliance reviews, audits, regulatory examinations, and reporting. Identify opportunities to improve workflows, operational efficiency, and the overall client experience.

Qualifications:

Bachelor's degree in Business, Finance, Economics, Accounting, or a related field preferred. 1-3 years of experience in financial services, wealth management, banking, operations, compliance, or a related support role preferred. Strong organizational, communication, and problem-solving skills with exceptional attention to detail and discretion. Proficiency in Microsoft Office and experience with CRM or document management systems. Familiarity with wealth management operations, custodial platforms, SEC/FINRA requirements, and AML/KYC processes is a plus.