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Manager, Client Service

Fidelity Investments
Posted 10 days ago, valid for 10 days
Location

Smithfield, RI 02917, US

Salary

Competitive

Contract type

Full Time

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Sonic Summary

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  • Fidelity is seeking a candidate with over 5 years of experience in Brokerage Operations and/or Service in the financial services industry for a role focused on reinventing core brokerage processes and technologies.
  • The position involves collaborating with business partners and tech developers to deliver exceptional client service, while also developing tools to analyze and improve communication models.
  • Candidates must have strong customer service skills, the ability to prioritize and resolve issues, and a deep understanding of brokerage products and processes.
  • A Series 7 certification is required, and a Series 63 is preferred with a requirement to obtain it within 60 days of employment.
  • Salary information is not provided in the job description.

Job Description:

Note: Fidelity will not provide sponsorship for this position.

The Role

The candidate will be a member within an evolving team which is reinventing core brokerage processes and technologies to meet changing customer and industry needs. The right individual will apply deep analytical skills and extensive brokerage knowledge to drive and implement various processes in relevant areas to ensure that they support the highest standards for customer service. The areas in focus for this role are to develop and implement a world-class digital service model by collaborating across the multiple operations groups and microservices that support the clearing firm. The coverage will range from client integration and onboarding to account opening and supporting trade inquiries on equity, options and mutual fund products. 

  • Collaborate with business partners, product managers, tech developers and where necessary third-party vendors to deliver impeccable client service. 

  • Develop tools to analyze and improve client service and communication models. 

  • Gather external feedback to drive process improvements or new product development 

  • Contribute to the ongoing gathering and analysis of relevant platform data and key measures which support the continuous optimization process just described. 

The Expertise and Skills You Bring 

  • Strong subject matter expertise relative to the products and processes listed above 

  • 5+ years Brokerage Operations and/or Service experience in the financial services industry 

  • Client facing experience highly preferred. 

  • Experience in supporting correspondents and RIA’s a plus 

  • Strong customer service orientation with the ability to:  Prioritize and resolve customer service issues, maintain professionalism and focus under pressure, identify and escalate pattern anomalies and understand complexity and communicate clearly 

  • Understanding of how technology is designed and adapted to support financial services 

  • Analytical prowess decomposing complex processes and solving puzzles 

  • Good knowledge management and documentation skills 

  • Attention to detail; intolerance of design clunkiness and process inefficiency; Positive attitude and excellent interpersonal, relationship, leadership and motivational skills 

  • Series 7 required

  • Series 63 preferred, required to obtain within 60 days

The Team

Green Pier Fintech LLC is a division of the Fidelity Center for Applied Technology (FCAT).  The Green Pier and Green Meadows team is bringing new technology and processes to life that will enable Fidelity to target new markets and customer segments; a business squarely executing on not one or two but four Fidelity operating principles - next generation platforms, efficiency and reduction of unit costs, new sources of revenue, and high quality customer experiences - and which embodies the Fidelity leadership principle of taking risks and valuing pace over perfection.

Certifications:

Series 07 - FINRA, Series 63 - FINRA

Category:

Client Service Operations

Please be advised that Fidelity’s business is governed by the provisions of the Securities Exchange Act of 1934, the Investment Advisers Act of 1940, the Investment Company Act of 1940, ERISA, numerous state laws governing securities, investment and retirement-related financial activities and the rules and regulations of numerous self-regulatory organizations, including FINRA, among others. Those laws and regulations may restrict Fidelity from hiring and/or associating with individuals with certain Criminal Histories.




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