J.P. Morgan Wealth Management - Vice President Supervisory Manager - Chicago, IL
Company: JPMorganChase
Location: Chicago
Posted on: April 1, 2026
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Job Description:
Description J.P. Morgan Wealth Management provides individuals,
advisors and institutions with strategies and expertise that span
the full spectrum of asset classes through our global network of
investment professionals while utilizing the latest technology and
resources of the entire firm. Our Wealth Management teams develop
deep, personal relationships with clients to provide goals-based
financial planning advice and to deliver sophisticated products and
solutions to meet their generational wealth management needs. As a
Supervisory Manager in J.P.Morgan Wealth Management, you will
exhibit leadership and operational expertise when performing an
appropriateness review on an exception basis of transactions placed
in client accounts. You will be responsible for managing complex,
high risk escalations from end-to-end and outreach to executive
level stakeholders. Job responsibilities Conduct suitability
reviews associated with a variety of Brokerage (i.e. stocks, bonds,
options, mutual funds, etc.) as well as Managed Account
transactions. Escalate supervisory issues as necessary, providing
relevant recommendations as to appropriate actions to be taken.
Strategically partner with Supervisory Managers or registered
personnel in the field to resolve exceptions. Undertake project
work and additional tasks as assigned by Central Supervision
Management. Influence process improvements and help promote change.
Influence, clearly articulating and aligning stakeholders to final
resolution. Required qualifications, capabilities, and skills 7
years of experience in the securities / investment industry.
Minimum licensing requirement: FINRA Series 7 and one or more of
the following licenses: FINRA Series 66 (63/65), 9/10 (4,24,53).
Additional licensing requirements must be met within 120 days of
hire. Possess a competent level of knowledge of relevant securities
rules, regulations, guidelines, securities products, and industry
practices. Ability to provide clear, concise, and timely resolution
to issues. Demonstrate strong critical thinking, analytical
research, and quantitative skills. Strong written and verbal
communications skills, including an ability to communicate with all
levels of management. Possess excellent time management skills.
Proven judgment and problem-resolution skills. Ability to
understand new investment products, Advisor / Banker compensation
plans, firm wide policies, and procedures to conduct reviews.
Ability to build relationships across business functions to obtain
necessary information to conduct reviews. Preferred qualifications,
capabilities, and skills Bachelor’s Degree preferred Experience as
a Supervisory or Compliance professional preferred Possess an
advanced knowledge of FINRA, MSRB and SEC rules and regulations
Experience working in an environment alongside Advisors preferred
State Life & Health Insurance license a plus, but not required
INVESTMENT AND INSURANCE PRODUCTS ARE: • NOT FDIC INSURED • NOT
INSURED BY ANY FEDERAL GOVERNMENT AGENCY • NOT A DEPOSIT OR OTHER
OBLIGATION OF, OR GUARANTEED BY, JPMORGAN CHASE BANK, N.A. OR ANY
OF ITS AFFILIATES • SUBJECT TO INVESTMENT RISKS, INCLUDING POSSIBLE
LOSS OF THE PRINCIPAL AMOUNT INVESTED Investment products and
services are offered through J.P. Morgan Securities LLC (JPMS), a
registered broker-dealer and investment advisor, member of FINRA
and SIPC. Annuities are made available through Chase Insurance
Agency, Inc. (CIA), a licensed insurance agency, doing business as
Chase Insurance Agency Services, Inc. in Florida. JPMS, CIA and
JPMorgan Chase Bank, N.A. are affiliated companies under the common
control of JPMorgan Chase & Co. Products not available in all
states.
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