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Wealth Advisor

Job in Wilmington, New Hanover County, North Carolina, 28412, USA
Listing for: REV Federal Credit Union
Full Time position
Listed on 2025-12-28
Job specializations:
  • Finance & Banking
    Financial Consultant, Wealth Management, Financial Advisor
Job Description & How to Apply Below

The Wealth Advisor is responsible for providing comprehensive wealth management and financial planning services to REV members in North Carolina. This role focuses on building and deepening long‑term advisory relationships, delivering personalized investment and planning strategies, and supporting members through all stages of their financial journey. The Wealth Advisor partners with branch teams and internal stakeholders to grow advisory relationships, ensure regulatory compliance, and deliver an exceptional member experience aligned with REV’s mission and values.

Duties & Responsibilities Member Relationship Management and Advisory Services
  • Serves as the primary wealth advisor for assigned members, providing holistic financial planning and investment guidance.
  • Builds and deepens long‑term advisory relationships through regular reviews, proactive outreach, and ongoing financial education.
  • Conducts needs‑based consultations to understand member goals related to retirement, investments, insurance, and overall wealth strategy.
  • Provides guidance on asset allocation, risk management, asset growth planning, and income planning in retirement.
  • Responds to member inquiries related to account positions, withdrawals, and fund transfers in a timely and professional manner.
  • Ensures a consistent, high‑quality advisory experience across all member interactions.
Investment Planning and Portfolio Management
  • Recommends and manages investment solutions in alignment with member objectives, risk tolerance, and regulatory requirements.
  • Monitors portfolio performance and market conditions, adjusting strategies as appropriate.
  • Provides clear explanations of investment concepts, risks, and performance in an easy‑to‑understand manner.
  • Utilizes an open product platform and approved third‑party partners to support effective portfolio construction.
  • Maintains accurate documentation of recommendations, transactions, and ongoing portfolio activity.
Business Development and Growth
  • Develops new advisory relationships through branch referrals, internal partnerships, and personal marketing efforts.
  • Grows book of business through asset consolidation, networking, asset growth, and member referrals.
  • Participates in community involvement activities including employer groups, HOA meetings, chambers of commerce, and similar outreach.
  • Partners with branch and leadership teams to expand REV’s wealth management presence in North Carolina.
Compliance, Documentation, and Risk Management
  • Ensures all advisory activities comply with FINRA, Cetera, and REV policies, procedures, and regulatory requirements.
  • Maintains required documentation to support suitability, disclosures, and supervisory review.
  • Keeps all licenses, registrations, and continuing education requirements current.
  • Identifies and escalates potential compliance or risk concerns to leadership as appropriate.
  • Participates in audits, exams, and internal reviews, maintaining files in a ready state.
Collaboration and Professional Contribution
  • Builds strong working relationships with branch staff, leadership, and internal partners.
  • Serves as a trusted resource for internal teams regarding wealth management solutions and member suitability.
  • Demonstrates initiative, professionalism, and adaptability within a collaborative advisory environment.
  • Assumes responsibility for related duties as required or assigned.
Related Duties

Assumes responsibility for related duties as required or assigned.

Skills & Qualifications Education, Certifications & Experience
  • Bachelor’s Degree in Finance, Business, or related field preferred; or equivalent combination of education and experience.
  • Minimum five (5) years of experience in wealth management, financial advisory, or investment services.
  • Active and valid FINRA Series 7 license required.
  • Active and valid Series 66 license or Series 63/65 required.
  • State life, health, disability, and variable insurance licenses required.
  • Strong understanding of securities including stocks, bonds, mutual funds, UITs, and ETFs.
  • Knowledge of insurance products including annuities, life insurance, and long‑term care.
Skills / Abilities
  • Strong relationship‑building skills with the ability to establish trust and…
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