Wye Financial Partners, a division of Shore United Bank, is seeking a full‑time Financial Advisor who is passionate about helping individuals and businesses build confident financial futures. In this role, you’ll serve as a key advisor, guiding clients through financial planning, investment strategies, and long‑term wealth decisions that align with their personal and professional goals. As a Financial Advisor, you’ll build strong client relationships by understanding financial needs, reviewing financial statements, and developing tailored plans that help maximize returns, reduce debt, and navigate changing regulations.
You’ll actively research and recommend investment opportunities, execute transactions, and collaborate with clients, prospects, and internal partners to achieve shared objectives. This position also plays an important role in driving growth by meeting revenue production goals aligned with the division’s annual operating plan. This is a licensed position , requiring FINRA Series 7 and 66 (or equivalent) and VA L&H to execute investment transactions.
Wye Financial Partners is a financial services firm offering full-service investment and insurance solutions through our broker/dealer, LPL Financial. LPL Financial is the largest independent broker/dealer in the country and has been a partner of ours for over a decade. Essential Functions Include: Meeting individually with clients to determine their financial objectives, risk tolerance, income, expenses, and assets Offering strategic advice on products and services, such as investments, insurance coverage and debt management tools Securing stocks and bonds and establishing progressive savings accounts Moving money from accounts per industry and federal regulations Performing market research to stay current with financial trends Preparing financial documents, such as income projections and investment reports Maintaining compliance with all rules and regulations in the financial industry Identifying and pursuing potential clients to maintain a strong client base Develops and maintains a high level of knowledge of investment disciplines Develops and maintains new client files with the support of the administrative team Adheres to all Compliance Rules and Regulations set forth by NASD, Broker-Dealer and Bank Compliance Departments Attends various community functions to promote services provided Achieves goals assigned as part of the Department’s annual operating plan: Jointly establishes quantitative sales objectives, with assigned supervisor, on an annual basis Solicits new business from present and prospective customers Promotes an environment and culture to support and improve sales and referral activities to meet overall defined goals Responds to referrals within a reasonable timeframe not to exceed two (2) business days Coordinates specific work tasks with other personnel within the division as well as with other branches/departments to ensure the smooth and efficient flow of information Abides by the current laws and organizational policies and procedures designed and implemented to promote an environment which is free of harassment and other forms of illegal discriminatory behavior in the workplace Communicates with management and staff personnel to integrate goals and activities Responds to inquiries relating to his/her particular area, or to requests from other bank personnel, customers, etc.
, within given time frames and within established policy Maintains appropriate records and provides assigned reports Location: This position can work from one of three locations: Westgate Circle - 200 Westgate Circle, Suite 200, Annapolis, MD 21401 Waldorf - 3035 Leonardtown Road, Waldorf, MD 20601 Governor's Avenue Branch - 800 S Governors Ave, Dover, DE 19904 Position Type/Expected Hours of Work: Full-time. Exempt. Days of Work: Monday-Friday Required Education and Experience: High school diploma/GED equivalent required.
A BS or BA degree in Finance or related field prefer