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My Investment Path

Financial Advisor

Career Insights for Financial Planner / Investment Consultant

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What they do

A Financial Planner or Investment Consultant advises clients on financial plans and investment strategies. Discusses the client's financial objectives, focusing on investment options and products. May be licensed to buy and sell financial products such as stocks and bonds.

$105,221 / year median in Florida

+3% projected growth

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Job Description

Financial Advisor My Investment Path Coral Gables, FL Job Details Full-time 5 hours ago Benefits 401(k) Qualifications Customer relationship building Trading Securities & Exchange Commission Series 66 Securities law compliance support experience Client retention Securities Industry Essentials Securities law Experience practicing in the securities industry Full Job Description Company Description My Investment Path provides Registered Investment Advisory Services in the State of Florida. With a mission to empower clients to achieve financial well-being, the organization offers personalized, strategic financial solutions. And corporate retirement plans and strategies for business owners. Based in Miami, FL, My Investment Path is committed to upholding the highest standards of integrity and professionalism to help individuals and families create secure financial futures. Role Description This is a full-time, remote or in person position, for a Financial Advisor. The Financial Advisor will provide clients with expert financial guidance, develop customized financial and investment strategies, and track their implementation. Primary responsibilities include financial planning, offering retirement and investment advice, understanding client financial goals, and ensuring the alignment of proposed financial plans with those goals. Building strong relationships with clients and staying updated on financial trends and regulations are key aspects of this role. We are looking for performance based motivated individuals since compensation will be based on goals and not a fixed pay. Several positions for 401k advisors are currently open. Qualifications Deep understanding of SEC and FINRA rules (especially Rule 206(4)-1, Rule 307, Rule 206(4)-4, Rule 434, etc.), including advertising rules, communication rules, and suitability requirements. You must know what can and cannot say to clients. Excellent communication and interpersonal skills, with a strong client service orientation. Proven ability to build long-term client relationships and provide exceptional service. Problem-solving skills to address client financial challenges. Detail-oriented and organized, with strong accuracy in financial planning, trading, and compliance. Series 65 & 66 licenses are required. SIE (Securities Industry Essentials) license is required. Must be a Florida resident.