Signature Banker
- Edmonton, AB
- Permanent
- Full-time
The Signature Banker delivers exceptional personal service and is responsible for the day-to-day management of banking and lending solutions, identifying opportunities that meet clients' immediate and future financial needs, and deepening client relationships.Is this role right for you? In this role you will:
Consistently deliver the highest level of service and advice during all client interactions by:
- Demonstrating a passion for engaging with professional clients, delivering exceptional client experiences, and making a significant impact in the lives of our clients
- Developing a full knowledge and understanding of Bank products, services, processes, and policies
- Maintaining an acute focus on responding quickly and resourcefully to client requests, ensuring first time right, speed, and ease
- Understanding the client's financial goals and preferences, analyzing their needs, and recommending the appropriate solutions
- Providing end-to-end ownership over advice-based solutions including account opening, investments, credit cards, lines of credits and mortgages.
- Identifying opportunities to expand existing relationships and make referrals to Scotia Wealth Management partners in response to changes in client's needs and preferences
- Participating in the thorough evaluation of the client's banking and borrowing needs and strategies
- Exercising sound judgement and financial analysis when granting loans within authorized limits
- Administering Total Wealth product solutions, including Online Loans and Signature Banking Overdraft Facilities
- Monitoring financial status and proactively identifying unfavorable trends, escalating as required
- Staying current on retail lending compliance, regulatory compliance, and custody requirements and changes
- Adhering to compliance with regulatory activities and guidance over Occupational Health & Safety
- Ensuring strict adherence to Bank security procedures, including retail lending policies and processes, assigned authorities and limits
- Escalating fraudulent activities, unusual occurrences, issues/deficiencies/trends to your direct supervisor and/or Team Lead and/or AML and/or Branch Compliance Officer (BCO) and/or Chief Compliance Officers and/or applicable Shared Services Department as appropriate
- Understand how the Bank's risk appetite and risk culture should be considered in day-to-day activities and decision
- Adhere to compliance with regulatory activities and guidelines as part of the sales process, including Privacy, Anti-Money Laundering (AML), Anti-Terrorist Financing, Financial Consumer Agency of Canada (FCAC), Know Your Customer (KYC), Canadian Deposit Insurance Corporation (CDIC), Mutual Fund Dealer Association (MFDA) rules, regulations, and policies, as well as Scotia Securities Inc. (SSI) guidelines/processes and Guidelines for Business Conduct
- Champions a high-performance environment and contributes to an inclusive work environment
- Minimum 3-5 years of banking experience
- The incumbent must have at least 3 years of Business and/or Retail Banking experience, dealing with professional clients
- Must be an experienced banker with exceptional interpersonal, leadership and business development skills
- University degree or college diploma
- Industry courses (e.g. CSC, PFP, CFP) would be considered an asset