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Twin Cities Wealth Advisors

Associate Financial Advisor

Career Insights for Financial Planner / Investment Consultant

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Based on Minnesota data

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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.

$102,796 / year median in Minnesota

+0% projected growth

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Job Description

Job Summary Join our dynamic team as an Associate Financial Advisor and become a vital partner in guiding clients toward their financial goals. In this energetic role, you will assist in developing comprehensive financial strategies, managing client relationships, and providing expert advice on a wide range of financial products and services. Your enthusiasm and dedication will help empower clients to make informed decisions, build wealth, and secure their financial futures. This position offers an exciting opportunity to grow your expertise in the financial industry while making a meaningful impact on clients' lives. Duties Collaborate with senior advisors to analyze clients' financial situations and develop tailored investment strategies Assist in preparing detailed financial plans, including estate planning, tax strategies, and retirement solutions Support the management of client portfolios by monitoring market trends and adjusting investment recommendations accordingly Engage with clients to communicate complex financial concepts clearly and confidently, fostering trust and long-term relationships Conduct research on financial markets, investment products, and industry regulations to ensure compliance and optimal advice Maintain accurate records of client interactions, transactions, and compliance documentation using advanced financial software tools Stay current on securities law, industry regulations, and best practices related to wealth management and financial advisory services Skills Strong understanding of estate planning, wills, trusts & estate law, and tax experience In-depth knowledge of securities law, FINRA regulations, and industry compliance standards Proven experience practicing in the securities industry with expertise in investment management advisory services Excellent client relationship management skills with the ability to communicate complex concepts effectively Proficiency in financial analysis, portfolio management, cash management, and accounting principles Familiarity with financial software platforms used for research, analysis, and client reporting Demonstrated knowledge of financial markets, wealth management strategies, banking services expertise, and asset management practices Embark on a rewarding career where your passion for finance meets your desire to make a difference. We support your professional growth through ongoing training in financial concepts, regulatory requirements, and industry best practices. Join us to help clients navigate their financial journeys with confidence!
Pay:
$80,000.00 - $110,000.00 per year
Benefits:
401(k) Health insurance
Work Location:
In person