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Client Service Administrator - Harrogate

HarrogateHybrid

AI Summary

Provides secretarial and administrative support to the investment management team, handling client onboarding, report compilation, account opening forms, cash movements, and client communications.

About this role

About us
The Titan Group provides a broad range of services across the whole wealth value chain – from financial planning, investment management through to platform, trading, settlement and custody services. Its strategy is to be able to offer modular, incremental services to its clients allowing them to adjust their business models as and when they choose to. As part of this Titan is also an active acquirer of UK based asset managers and other wealth related businesses.
Titan Private Wealth is a well-established independent investment management business who provide portfolio management and stockbroking services to private clients. With full in-house back office, research and support teams, Titan Private Wealth are committed to providing an exceptional level of service to our clients which is achieved by developing long-term and trusted relationships. Titan Private Wealth our investment management arm, recently rebranded from Cardale, founded in 2003 and based in Harrogate.

The role

This role would be to work within the Investment Management team based in Harrogate.

You will provide secretarial and administrative support to the investment management team in the provision of investment services to clients. You will also work with intermediaries with onboarding clients across to Titan Private Wealth.

Responsibilities

  • Provide secretarial and administrative support to the investment management team in the provision of investments services to clients, compiling reports, onboarding clients, filing and other administrative duties.
  • To speak to clients on behalf of the Investment Manager , taking instructions and booking in meetings.
  • Provide support for all the investment management teams.
  • Maintain client files and records including new client set up and deletion.
  • Process account opening forms, liaising with compliance, operations, financial planning team and other third parties.
  • To provide support with the quarterly valuation process e.g. writing letters to clients, sending valuation emails to clients and third parties.
  • Provide information to third parties e.g. SIPP providers, solicitors and accountants as and when requested.
  • To liaise with operations regarding cash movements e.g. fee covers, ISA subscriptions, spousal transfers etc. Filling out cash forms.
  • Monitoring daily cash balances, sending cash out to clients/SIPP providers and moving funds between accounts.
  • To provide management information in excel format from suitability logs.
  • Helping investment managers in creating presentations in power point.
  • Work with the Client Services Manager to identify opportunities for improving processes and removing the reliance on paper.
  • Answer overflow calls from reception.
  • Maintaining up to date knowledge of company procedures and policies and completing compliance training in a timely manner.
  • Any other duties in line with the level and scope of this role.
  • Essential Skills, qualities and Experience required:

  • Must have gained GCSE Grade C or above in English and Maths
  • Strong verbal and written communication
  • Previous experience of working in an administrative role
  • Inquisitive and a problem-solver with a keen eye for detail
  • Proven ability to work within a team and on your own.
  • Experience with Microsoft Word, Excel and PowerPoint essential.
  • Previous experience within the financial services sector is advantageous but not essential.
  • Essential Qualifications:

  • Good standard of education
  • Maths and English GCSE, grade 5 or above, or equivalent.
  • Titan expected behaviours

  • Commercial Awareness
  • Innovation
  • Collaboration
  • Team contribution
  • Professionalism
  • Skills

    ExcelGCSE EnglishGCSE MathsMicrosoft WordPowerPoint

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