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Correspond with Operations, attorneys, accountants, probate court, etc., on account or beneficiary matters. Consult with Relationship Officer on more complex or sensitive issues.
Assemble and prepare Reg 9 review documentation for Wealth Advisor and review asset mix to ensure investment ratios are accurate.
Review transactions and fees in account for accuracy. Monitor activity to ensure accurate and timely payment for services.
Correspond with Operations in order to ensure proper receipt of information and documentation needed in order to process all client requests, account set-up, etc.
Responsible for getting securities set up on our system by working with customers, brokers and/or other financial institutions to provide Operations the information and documentation needed.
Perform daily duties including copying, time stamping documents, filing and handling calls from clients and their agents.
Responsible for making sure client statements are received and that court accountings are filed for all accounts which require such.
Ensure all actions performed are in compliance with government regulations and organizational policies and procedures.
CT
Community Trust Bancorp, Inc.
Client Service Administrator II
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Based on Kentucky data
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What they do
A Customer Service Supervisor supervises staff that provide customer service for a company. Assists staff as needed, or deals directly with customers. Implements policies with regard to company products or services. Answers questions, resolves problems and complaints and approves refunds or exchanges for customers.
$53,380 / year median in Kentucky
-2% projected decline
Job Description
JOB RESPONSIBILITIES
Meet with and work closely with customer/beneficiaries concerning inquiries/problems regarding matters of account or asset administration.Correspond with Operations, attorneys, accountants, probate court, etc., on account or beneficiary matters. Consult with Relationship Officer on more complex or sensitive issues.
Assemble and prepare Reg 9 review documentation for Wealth Advisor and review asset mix to ensure investment ratios are accurate.
Review transactions and fees in account for accuracy. Monitor activity to ensure accurate and timely payment for services.
Correspond with Operations in order to ensure proper receipt of information and documentation needed in order to process all client requests, account set-up, etc.
Responsible for getting securities set up on our system by working with customers, brokers and/or other financial institutions to provide Operations the information and documentation needed.
Perform daily duties including copying, time stamping documents, filing and handling calls from clients and their agents.
Responsible for making sure client statements are received and that court accountings are filed for all accounts which require such.
Ensure all actions performed are in compliance with government regulations and organizational policies and procedures.
SKILLS/KNOWLEDGE AND ABILITIES/EXPERIENCE
- Associates Degree or equivalent certification through specialized vocational/technical training programs plus 2-4 years as Client Service Administrator I or comparable trust/wealth management related education and/or experience.
- Possess technical knowledge in the area of compliance (legal) and accounting. Possess advanced computer skills.
- Customer service experience highly preferred.
WORKING CONDITIONS
- Normal office conditions The above statements are intended to describe the general nature and level of work being performed by people assigned to this job.