Client Services Representative
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Cetera
Lombard, IL, US
Summary
The Client Services Representative acts as a liaison between Financial Advisors and clients to ensure high-quality service and effective communication. Responsibilities include managing administrative tasks, preparing meeting materials, processing paperwork, and maintaining accurate client records in compliance with company policies.
Job Description
Key Responsibilities
- Serve as a liaison between Financial Advisors and clients, ensuring a high level of service and responsiveness.
- Answer incoming calls, schedule appointments, and coordinate meeting logistics.
- Prepare meeting materials, client presentations, illustrations, reports, graphs, and charts to support advisor-client interactions.
- Process and complete client paperwork accurately and efficiently, including all required follow-up activities.
- Communicate with clients by phone, virtual meetings, and in-person interactions to address questions and ensure service expectations are met.
- Coordinate client events, including planning, communication, and post-event follow-up.
- Maintain accurate client records and documentation in accordance with company policies and regulatory requirements.
- Perform proactive client outreach regarding time-sensitive activities, including Required Minimum Distributions (RMDs), quarterly reviews, annual reviews, and other client service initiatives.
- Take ownership of client inquiries and requests by partnering with internal departments to ensure timely resolution and exceptional service delivery.
- Educate clients on account services, platform capabilities, and technology solutions.
- Complete required training and support the implementation of new tools, technologies, and processes.
- Maintain detailed client communication records and compliance documentation within AdviceWorks, SmartWorks, Redtail, and other required systems.
- Partner with Advisors through regular meetings to support business planning, marketing initiatives, client communication strategies, task management, and service workflows.
Required Qualifications
- High School Diploma or GED required.
- Experience in an administrative, customer service, client support, or office operations role.
- Strong organizational and time management skills with the ability to manage multiple priorities.
- Excellent verbal and written communication skills.
- Proficiency with Microsoft Office Suite, including Word, Excel, and PowerPoint.
- Ability to learn and adapt to new systems, software applications, and business processes.
Preferred Qualifications
- Experience supporting Financial Advisors, Registered Representatives, or wealth management professionals.
- Background in financial services, banking, insurance, or a related industry.
- Bachelor's degree in Finance, Business, Marketing, Communications, or a related field.
- Strong attention to detail with the ability to produce accurate and timely work in a fast-paced environment.
- Proven ability to independently manage workload while adapting to changing priorities and urgent requests.
- Self-motivated team player who can work effectively both independently and collaboratively.
- Professional, positive, and client-focused demeanor with strong interpersonal skills.
- Ability to handle confidential information with discretion and integrity.
- Strong listening skills with the ability to retain information and execute tasks accurately.
Core Competencies
- Client Service Excellence
- Communication and Relationship Building
- Organization and Time Management
- Attention to Detail
- Problem Solving
- Adaptability
- Team Collaboration
- Professionalism and Integrity
- Initiative and Accountability
This individual will create a meaningful impact by supporting advisor success, strengthening client relationships, and contributing to a positive and professional client experience.
The base annual salary range for this role is $22.00 to $25.00, plus a competitive performance-based bonus. Base annual salary depends on a wide array of factors, including but not limited to skill set, years and depth of experience, certifications, and location. Base annual salary may also differ significantly due to geography and cost of labor considerations.
Avantax, a unique community within Cetera Holdings, delivers tax-intelligent wealth management solutions for financial professionals, tax professionals & CPA firms, supporting its goal of minimizing clients’ tax burdens through comprehensive tax-intelligent financial planning. Avantax has two distinct, but related, models within its business: the independent Financial Professional model & the employee-based model. Avantax refers to its independent Financial Professional model as Avantax Wealth Management®. Avantax Wealth Management (AWM) works with a nationwide network of Financial Professionals operating as independent contractors & offers its services through its registered broker-dealer, Avantax Investment Services, Inc., Member FINRA, SIPC, registered investment advisor (RIA), Avantax Advisory Services, Inc., & insurance agency subsidiaries. We refer to our employee-based model as Avantax Planning Partners℠. Avantax Planning Partners offers services through its RIA, insurance agency, & affiliated broker-dealer, Avantax Investment Services, Inc., & partners with CPA firms to provide their consumer & small-business clients with holistic financial planning & advisory services.
Securities offered through Avantax Investment Services℠, Member FINRA (www.finra.org), SIPC (www.sipc.org). Investment advisory services offered through Avantax Advisory Services℠. Insurance services offered through licensed agents of Avantax Insurance Agency℠ & Avantax Insurance Services℠. 3200 Olympus Blvd., Suite 100, Dallas, TX, 75019, 972-870-6000. Visit Avantax.com/social_policy for more information. Avantax exclusively provides financial products and services & does not directly provide or supervise tax or accounting services. Its affiliated Financial Professionals may offer those services through their independent outside businesses. Financial Professionals’ outside companies aren't registered investment advisers.
Founded
1983
Company size
501-1,000 employees
Industry
Financial Services
Org type
Privately Held
Headquarters
Dallas, Texas
Avantax, a unique community within Cetera Holdings, delivers tax-intelligent wealth management solutions for financial professionals, tax professionals & CPA firms, supporting its goal of minimizing clients’ tax burdens through comprehensive tax-intelligent financial planning. Avantax has two distinct, but related, models within its business: the independent Financial Professional model & the employee-based model. Avantax refers to its independent Financial Professional model as Avantax Wealth Management®. Avantax Wealth Management (AWM) works with a nationwide network of Financial Professionals operating as independent contractors & offers its services through its registered broker-dealer, Avantax Investment Services, Inc., Member FINRA, SIPC, registered investment advisor (RIA), Avantax Advisory Services, Inc., & insurance agency subsidiaries. We refer to our employee-based model as Avantax Planning Partners℠. Avantax Planning Partners offers services through its RIA, insurance agency, & affiliated broker-dealer, Avantax Investment Services, Inc., & partners with CPA firms to provide their consumer & small-business clients with holistic financial planning & advisory services.
Securities offered through Avantax Investment Services℠, Member FINRA (www.finra.org), SIPC (www.sipc.org). Investment advisory services offered through Avantax Advisory Services℠. Insurance services offered through licensed agents of Avantax Insurance Agency℠ & Avantax Insurance Services℠. 3200 Olympus Blvd., Suite 100, Dallas, TX, 75019, 972-870-6000. Visit Avantax.com/social_policy for more information. Avantax exclusively provides financial products and services & does not directly provide or supervise tax or accounting services. Its affiliated Financial Professionals may offer those services through their independent outside businesses. Financial Professionals’ outside companies aren't registered investment advisers.
Founded
1983
Company size
501-1,000 employees
Industry
Financial Services
Org type
Privately Held
Headquarters
Dallas, Texas