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Sr Investment Associate - R127016

at Northern Trust Company in Chicago, Illinois, United States

Job Description

About Northern Trust:

Northern Trust, a Fortune 500 company, is a globally recognized, award-winning financial institution that has been in continuous operation since 1889.

Northern Trust is proud to provide innovative financial services and guidance to the world's most successful individuals, families, and institutions by remaining true to our enduring principles of service, expertise, and integrity. With more than 130 years of financial experience and over 22,000 partners, we serve the world's most sophisticated clients using leading technology and exceptional service.

This is an office-based position and for the effective performance of this role, the duties and responsibilities must be carried out onsite.

The Sr. Investment Associate will be responsible for all administrative aspects of a portfolio. This includes file set up on client accounts, ordering reports, processes physical stock and/or bond certificates, prepares all material for client review meetings. Works independently to support the investment management clients and Investment Advisors. Formulates recommendations proactively to support the Investment Advisors. Demonstrates mastery knowledge of Goals Driven Wealth Management (GDWM) tool and can run it and begin to contribute to client meetings.

Responsible for supporting risk and compliance requirements for the team, including Working diligently to mitigate losses due to error and being mindful of possible contingencies Coordinating and/or supporting investment or client service teams' monthly REV and New Account Review processes and documentation (as directed by supervisor).

Key responsibilities include:

1. Ensures that portfolio materials are prepared for account review meetings with clients. Retrieves reports, desired by portfolio managers or requested by clients, off the EDS, PIMS, IMS, and PAS systems.

2. Sets-up files with account documentation for existing or new clients (i.e., p repares subscription documents for Private Placements, automatic payment, pledging securities, address changes, statement addresses, investment guidelines, fees, etc.).

3. Orders reports for portfolio managers or clients as requested.

4. Communicates with clients and portfolio managers on client requests. (Ensures that portfolio managers follow-up with client requests).

5. Interacts with partners, primarily administratively, on a daily basis to receive and communicate information on all aspects of a client relationship or portfolio (i.e. set up Separately Managed Accounts).

6. Works with the tax area to research discrepancies and oversee adjustments on client accounts regarding tax cost issues.

7. Responds to client inquiries for account information or to initiate transactions requested by the client (i.e., re-register gift stock, remit proceeds, sell gifts, etc.). Processes physical stock/bond certificates and completes DTC transfers.

8. Follows-up with client on inquiries via the telephone or written correspondence.

9. Processes client cash transfer requests. Determines if funds are available in the investment account. Contacts Investment Advisor if cash needs to be raised.

10. Processes fund trades via CIT or all-in-one bank applications by established deadlines.

11. Reviews and analyzes fee worksheets to ensure that fees are calculated appropriately.

12. Adheres to National Investment Guidelines, feedback from the REV peer review process, and observes sound risk management practices.

13. Begins to proactively make recommendations to support the Investment Advisors.

14. Begins to have a role...

Equal Opportunity Employer - minorities/females/veterans/individuals with disabilities/sexual orientation/gender identity

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Job Posting: 11955434

Posted On: Jun 06, 2024

Updated On: Jul 06, 2024

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