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Gatewood Wealth Solutions
Brentwood, MO, US
Source: Gatewood Wealth Solutions careers · View original posting
From Gatewood Wealth Solutions's posting. “We” and “our” refer to the employer.
Position Overview
The Client Service Associate supports Gatewood Wealth Solutions’ client service and operations functions by executing high-volume, detail-sensitive service requests with accuracy, timeliness, and professionalism. This role is responsible for preparing and processing account paperwork, coordinating custodial requests, monitoring follow-through, and ensuring that clients experience a smooth, organized, and high-touch service process.
The role is designed for someone who has strong client service instincts, comfort handling confidential financial information, and enough exposure to banking or financial account concepts to learn quickly. The ideal candidate may come from a bank teller, personal banker, retail banking, financial services support, or similar client-facing operations background where they have learned the basics of account ownership, registrations, documentation, and transaction accuracy without being overly experienced or set in another firm’s way of
doing things.
Primary Responsibilities
Account Opening and Onboarding Support
· Prepare and process new account opening requests for individual, joint, trust, retirement, beneficiary, and other common account registrations.
· Review client-provided information for completeness and consistency before submitting paperwork or electronic signature packets.
· Coordinate with internal team members to confirm account type, titling, beneficiaries, funding instructions, and required supporting documentation.
· Track new account paperwork from preparation through signature, submission, approval, funding, and final confirmation.
· Communicate proactively with team members regarding missing information, paperwork status, expected timing, and next steps.
Move Money Transaction Requests
· Prepare and submit move money requests, including journals, ACH instructions, checks, wires, distributions, contributions, and other cash movement items as applicable.
· Confirm transaction details before submission, including account registration, account number, ownership, dollar amount, frequency, tax withholding requirements, and delivery instructions.
· Identify requests that require escalation, additional review, or advisor confirmation before processing.
· Maintain strong attention to risk controls, especially for retirement accounts, third-party instructions, beneficiary-related activity, and manual processing exceptions.
· Monitor transaction status through completion and provide timely updates to the appropriate internal team members.
Account Updates and Maintenance
· Process account maintenance requests, including beneficiary updates, title changes, address changes, contact information updates, trusted contact updates, and other client profile changes.
· Review maintenance requests for required forms, signatures, supporting documentation, and custodial requirements.
· Ensure client records remain accurate across applicable systems and notify team members when updates are complete.
· Recognize when an account update may create additional downstream tasks, such as changes to household records, portal access, billing setup, or reporting visibility.
Death Claims and Beneficiary Processing
· Support the preparation and tracking of death claim paperwork, beneficiary claim forms, inherited account opening paperwork, and related account transition documentation.
· Coordinate respectfully and carefully with internal team members during sensitive client family situations.
· Confirm required documentation such as death certificates, beneficiary information, entity documents, or custodial forms before submission.
· Monitor death claim and beneficiary processing status and escalate delays or documentation issues promptly.
ACATS and Asset Transfer Support
· Prepare and submit ACATS and other transfer paperwork for incoming assets.
· Review delivering firm statements to confirm account type, registration, ownership, approximate value, and potential transfer considerations.
· Track transfer status from submission through completion, including rejections, residual sweeps, transfer delays, and follow-up requirements.
· Coordinate with internal team members when transfer details do not align with the intended account setup or client onboarding plan.
· Deliver a polished, responsive, and professional service experience in every internal and client-facing interaction.
· Communicate clearly, warmly, and accurately when requesting information, following up on paperwork, or providing status updates.
· Protect confidential client information and follow firm procedures for secure handling of sensitive data.
· Take ownership of assigned requests from start to finish rather than simply completing isolated tasks.
· Balance speed with accuracy, recognizing that attention to detail is critical in account registration, money movement, and beneficiary-related work.
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