Financial Advisor
Illinois, USA
Listed on 2026-01-12
-
Finance & Banking
Financial Consultant, Financial Sales, Financial Advisor
Overview
Final date to receive applications: 10/30/2025
Address: VIRTUAL(U)13 - Home Res - IL
Job Family Group:
Wealth Sales & Service
- This is a 100% remote opportunity!
- Work Schedule:
Monday - Friday, Operating hours are 10 am - 7 pm Central Time (schedule is mostly flexible throughout the week, however you must be available to work the 10-7pm CST shift as needed) - Licensed Position
:
Active Series 7, 66 or 7,63+65 and Life and Health are Required for this role
Financial Advisor
This role is accountable to invoke trust and build strong client relationships, determine individual investment needs and provide professional, customized advice to ensure client s financial goals are met. You will provide a superior client onboarding experience, actively reviewing client portfolios and preparing and presenting appropriate investment solutions by leveraging various tools provided by the bank. Being the first point of client contact, the Financial Advisor s core mandate is to provide investment recommendations based on client suitability, time frame and goals.
The Financial Advisor has the ultimate goal of building and solidifying customer loyalty while deepening client relationships.
Customer
- Understanding financial markets and recognize when to provide clients advice
- Builds trust and strong customer relationships by educating them on acceptable risks and performance expectations that help them achieve their financial goals.
- Maintains excellent client relationships and creates customized action plans to assist customers to achieve their financial goals.
- Investment product subject matter expert (15 product categories)
- Mutual Funds
- Annuities
- Managed Accounts
- Market Linked CDs
- Unit Investment Trust
- Retirement planning
- Fee Based Account annual reviews
Financial
- Responsible for the continued growth of the portfolio
- Meet monthly sales goal
- Outside Asset Gathering (i.e., prospecting from existing and net new clients)
- Advice on Maturities
- Uncovering uninvested opportunities
Asset Retention
Manage direct client relationships and maintaining a group of clients with total assets of $100MM
Risk
- Adhering to internal and FINRA (Financial Industry Regulatory Authority) Audit requirements
- The Advisor is to act as the gatekeeper and is responsible for various approvals in order to satisfy industry regulators
Financial Advice
- Investment Reviews
- Developing Financial Plans
- Solution Positioning
- Protecting client Personal Information
AML (Anti Money Laundering)
- Implementing further AML requirements on house and assigned accounts
Trading
- Accuracy
- Discipline order/confirmation
- Determine need for the trade
- Adhere to (BIC)
Best Interest Contract for every recommendation - Be current and adapting the constantly changing regulatory environment
- Possess strong knowledge and act as resource on software including LPL s Client Works, Sales Force, and Moneyguide-Pro
Accountabilities / Decision Making / Scope & Impact
- Decision Making -- Provide investment recommendations based off client suitability, time frame, and goals
- Provides wealth and investment-related sales and service to BMO customers or prospects. Understands customer needs to provide wealth and investment advice, strategies, and products in the best interest of the customer.
- Fulfills sales and service activities for the customer in accordance with approved procedures. Identifies and makes referrals to other business groups.
- Understanding and ability to explain Cost Basis, Tax documents, IRA (Individual Retirement Account) RMD (Required Minimum Distribution) withdrawals and early withdrawal penalties
- Attest to client accounts and all regulatory sign offs
- Influence - Authority to impact Investment Advice in accordance with the BIS offer and applicable securities regulations
- This role has direct impact on the achievement of key business unit objectives
Knowledge and Skills
- University Degree with a minimum of 3-5 years of financial industry experience
- Series 7 and 66 or (7, 63 and 65) and insurance licenses (life and health)
- U4 clear background check requirements
- Continuing Education - FINRA and BMO administered
Why you ll love growing your career
here
- Customizable benefits, and performance bonuses
- Work in a digitally focused environment…
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