Trust Officer- Office of Nevada
Listed on 2026-08-30
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Finance & Banking
Financial Compliance, Regulatory Compliance Specialist, Risk Manager/Analyst
Las Vegas NV
Full time
R79355
Pay Range:(Minimum to mid pay range specific to (OHI,DEL,NY,CA,CO,WA,MD,CT,IL,NV,,KY,MI,NJ,ME,MO,MA,MT)
66,300. USD Annual
About Brink's:The Brink's Company (NYSE:BCO) is a leading global provider of cash and valuables management, digital retail solutions, and ATM managed services. Our customers include financial institutions, retailers, government agencies, mints, jewelers, and other commercial operations. Our network of operations in 51 countries serves customers in more than 100 countries.
We believe in building partnerships that secure commerce and doing that requires fostering an engaged culture that values people with different backgrounds, ideas, and perspectives. We build a sense of belonging, so all employees feel respected, safe, and valued, and we provide equal opportunity to participate and grow.
Job Description PurposeThe Trust Officer is responsible for the administration and oversight of trust, fiduciary, and agency accounts in accordance with governing documents, Nevada trust laws, fiduciary standards, and company policies. This role serves as the primary point of contact for clients, beneficiaries, advisors, attorneys, and other stakeholders while ensuring high-quality service, regulatory compliance, and prudent risk management. The role will be responsible for working with BGS US leadership team to help grow its overall asset base by capturing opportunities presented by targeting trust customers.
Key ResponsibilitiesTrust Administration:
Administer assigned trust and fiduciary accounts in accordance with trust agreements and applicable laws.
Review trust documents and governing instruments to ensure proper account administration.
Coordinate distributions, trust funding activities, and account maintenance.
Monitor trust activity and identify issues requiring administrative attention.
Maintain complete and accurate client records.
Client Relationship Management:
Serve as point of contact and relationship manager for assigned trust clients
Communicate with key stakeholders regarding trust administration matters
Respond to client inquiries in a timely an professional manner
Participate in client review meetings and planning discussions
Foster relationships with key clients, partners, and stakeholders to expand business opportunities and maintain a strong market presence
Fiduciary Oversight and Compliance:
Ensure adherence to fiduciary obligations and company policies
Support internal and external audits and regulatory examinations
Assist with risk management reviews and trust account assessments
Ensure compliance with:
Nevada Trust regulations
Banks Secrecy Act (BSA)
Anti-Money Laundering (AML)
OFAC requirements
Customer Identification Program (CIP/KYC)
Operations and Governance:
Review and approve account documentation and transactions
Coordinate annual account reviews and reporting requirements
Assist in developing and maintaining trust administration procedures
Participate in trust committee and oversight meetings
Identify process improvements to enhance operational efficiency
Bachelor's degree in Finance, Accounting, Business, Legal Studies or related field required
5+ years of trust administration, fiduciary services, private banking, wealth management, or estate administration experience
Knowledge of Nevada trust laws and fiduciary responsibilities
Strong analytical, organizational and communication skills
Proficient in Microsoft 365 applications
Master's degree in finance or related field preferred
Certified Trust and Fiduciary Advisor (CTFA)
Experience administering various trust (directed, dynasty, asset protection, irrevocable, etc.)
Experience with trust accounting and fiduciary tax returns
Integrity and fiduciary judgment
Client service orientation
Attention to detail
Regulatory awareness
Problem solving
Relationship management
Confidentiality and discretion
Regulatory compliance and audit performance
Client satisfaction and retention
Accuracy of trust administration activities
Timely completion of account reviews
Effective risk identification and mitigation
Assets Under Management
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