J.P. Morgan Wealth Management - Associate, Client Safeguarding Lead
Job in
Westerville, Delaware County, Ohio, 43082, USA
Listed on 2026-07-09
Listing for:
JPMorgan Chase & Co.
Full Time
position Listed on 2026-07-09
Job specializations:
-
Finance & Banking
Regulatory Compliance Specialist, Financial Compliance, Risk Manager/Analyst
Job Description & How to Apply Below
:
Category:
Client Service
Job Schedule:
Full time
Posted Date: T22:58:47+00:00
Job Shift:
Base Pay/Salary:
Chicago,IL $64,600.00-$87,500.00
JPMorgan
Chase Wealth Management is dedicated to helping investors achieve long-term financial goals through the Chase wealth management business, J.P. Morgan Advisors, and the Self-Directed online investing platform. The combined business manages approximately $650B in assets and includes 4,500 advisors across nearly 5,000 locations.
As a Client Safeguarding Lead within the Wealth Management service organization, you will serve as a front-line, specialized escalation resource responsible for fraud/scam, AML-related concerns, and Elder/Vulnerable Person (EVP) escalations routed through service channels. This is not a generalist service role-this position requires investigative judgment from day one, strong regulatory awareness, and the ability to own complex cases end-to-end while balancing client protection, policy adherence, and a high-quality client experience.
You will handle high-stakes situations that may involve restricting access to funds, placing protective measures on accounts, or escalating for additional review. You will partner cross-functionally with internal teams to drive timely, consistent outcomes, and you will identify trends to reduce repeat issues and strengthen controls.
Target operating hours:
Monday-Friday 7 a.m.
-8 p.m. CST (8 a.m.
-9 p.m. EST) and Saturday 8 a.m.
-4 p.m. CST (9 a.m.
-5 p.m. EST).
Job Responsibilities
* Own fraud/scam, AML-related, and EVP escalations end-to-end, including investigation, research, documentation, decisioning, and resolution follow-through.
* Conduct advanced authentication, risk assessment, and root-cause analysis; identify red flags and take appropriate safeguarding actions aligned to policy and controls.
* Manage these fraud related calls/cases with professionalism, empathy, and clarity-balancing client experience with safeguarding and regulatory requirements.
* Perform meticulous review of Repeat Caller and high-risk accounts to validate prior outcomes, ensure consistency, and correct gaps in rationale or documentation.
* Evaluate exception requests to standard procedures, determine appropriateness, and coordinate required approvals and documentation.
* Partner cross-functionally with Wealth Management Client Operations, advisors, servicing teams, risk/control partners, Global Securities & Investigations 'GSI', and/or other partner areas to resolve issues efficiently and protect client assets.
* Identify trends and recurring drivers behind fraud escalations/instances that will contribute to process improvements, controls enhancements, and client experience improvements.
* Participate in working groups, pilots, and projects supporting continuous improvement and the evolution of the client safeguarding operating model.
* Maintain readiness through ongoing learning of evolving fraud typologies, policy updates, and relevant regulatory guidance (e.g., FINRA 2165 and applicable state laws).
Required Qualifications , Capabilities, and Skills
* FINRA Series 7 and 63 (or equivalent) required, including meeting FINRA continuing education requirements.
* Ability to maintain registration in all 50 states, as applicable.
* Demonstrated fraud/EVP escalation judgment and ability to make high-impact decisions under pressure while adhering to policy and controls.
* Strong risk, compliance, and control mindset, including consistent execution within operating standards and regulatory requirements.
* Proven ability to own complex cases independently and drive outcomes through cross-functional coordination.
* Excellent client communication skills (phone and written): clear articulation, de-escalation, empathy, and confidence in difficult conversations.
* Strong documentation discipline and ability to produce clear, auditable case notes suitable for regulatory, legal, and internal review.
* Skilled in prioritization, multi-tasking, and managing competing deadlines in a fast-paced environment.
* Ability to adapt communication style to meet the needs of a diverse client base.
Preferred Qualifications , Capabilities, and Skills
* 2-3+ years of…
Position Requirements
10+ Years
work experience
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