Responsibilities
- Serve as the primary contact for client enquiries and transactions.
- Provide investment advice aligned with the firms strategy and asset allocation framework.
- Monitor client portfolios, collateral, and investment performance.
- Maintain strong client relationships through consistent engagement.
- Develop new business and expand existing client portfolios.
- Communicate client feedback to internal teams to improve services.
- Adhere to company policies and DFSA regulatory standards.
Business Management
- Develop and implement marketing and client acquisition strategies.
- Support new product and process initiatives.
- Participate in ad-hoc projects as assigned by management.
- Ensure accurate documentation, reporting, and compliance with all regulatory requirements.
Regulatory Responsibilities
- Demonstrate integrity, diligence, fairness, and professionalism in all dealings.
- Manage conflicts of interest and ensure compliance with DFSA laws and regulations.
- Maintain open and transparent communication with regulatory bodies.
- Ensure all business operations are properly controlled and compliant.
Skills & Knowledge
- Strong relationship management and client servicing skills.
- Excellent understanding of investment products, wealth strategies, and financial planning.
- Confident communicator with the ability to explain complex concepts clearly.
- Sound knowledge of DFSA compliance and private banking best practices.
- Proven ability to grow assets under management (AUM) and develop new client networks.
- Strategic mindset with a good grasp of global and regional wealth management trends.