Miami, FL, US
Emp Type: Full time / Direct Hire
2026-06-29
Job Summary: <p><span style="font-size: 12px;">Our client is seeking an</span><strong><span style="font-size: 12px;"> experienced Registered Representative</span></strong><span style="font-size: 12px;"> from the </span><strong><span style="font-size: 12px;">securities/wealth management industry</span></strong><span style="font-size: 12px;"> with a portable minimum $30MM AUM book of business. This is a </span><strong><span style="font-size: 12px;">fully remote opportunity focused on UHNW </span></strong><span style="font-size: 12px;">client coverage, relationship management, and driving growth across investment management, capital markets, and banking & lending solutions. Candidates </span><strong><span style="font-size: 12px;">must hold active FINRA Series 7 & 66 (or 63 & 65) licenses </span></strong><span style="font-size: 12px;">and have a proven track record in private banking or wealth advisory with strong client acquisition and relationship management capabilities.</span></p>
Job Requirements:
Grow client net revenue annually in core product areas: investment management, capital markets, and banking & lending
Create sales and marketing strategies designed to generate revenue growth and to acquire new target clients within different sectors
Profile, qualify, and convert prospects into SSLLC clients.
Identify and execute on new business opportunities with existing clients
Orchestrate appropriate specialist resources to develop tailored, long-term solutions for clients/prospects
Present and communicate to clients/prospects complex financial concepts and investment strategies in a way that is easily understood
Relationship Management:
Serve as the client's advocate and primary contact for strategic advice on financial matters
Create, organize, and implement a wealth management strategy designed to deepen relationships with existing clients
Manage client expectations regarding what can and cannot be executed on their behalf
Ensure financial strategies are kept current and appropriately aligned with client objectives
Understand and communicate the risk involved with financial and investment strategies
Ensure all client inquiries and problems are handled effectively and resolved
Help team members to acquire experience and establish credibility with clients
Compliance Oversight and Controls:
Comply with all regulatory policies and control procedures regarding client transactions and suitability
Oversee and ensure clients are on-boarded appropriately including all required documentation is complete and accurate
Appropriately assess risk when business decisions are made, demonstrating particular consideration for the firm's reputation and safeguarding SSLLC, its clients and assets, by driving compliance with applicable laws, rules and regulations, adhering to Policy, applying sound ethical judgment regarding personal behavior, conduct and business practices, and escalating, managing and reporting control issues with transparency.
Skills and Knowledge:
Client facing experience, preferably in the financial services industry. Strong knowledge of investments and credit products
Strong knowledge of financial industry and current market conditions
Strong verbal and written communication skills. Excellent interpersonal skills, problem solving, team work and analytical skills
Ability to establish relationships and partner effectively with various groups including sales, service, operations and compliance
Ability to understand, utilize and learn computer and web based applications
Qualifications and Education:
10+ years of experience
Licensing: Series 7 & 66 (or 63 & 65)
Current book of AUMs (Min $30MM)
Extensive and proven experience in Private Banking having covered the UHNW market Extensive experience in working with and/or leading client teams and transactions Demonstrated track record in relationship selling
Compensation: Competitive and Based on AUMs (Book of Business),