Wall Street Firm seeking established brokers, broker trainees (Melville)
compensation: compensation and commissions may vary
Member of FINRA/SIPC
Rapidly growing prestigious Wall Street Firm seeking established brokers, broker trainees, and sales assistants.
Lower Manhattan, NYC
Melville, Long Island
Over 70 offices in U.S.
Established in 1947
Must be Motivated, Goal Oriented, and Confident with Strong Communication Skills.
Comprehensive Paid Training
Bonuses and Incentives
Series 7, 63, and other Securities License Sponsorship
Generous Pay Out
Sign on Bonuses for registered reps
Established in 1947, National Securities is a full service, independent, brokerage firm. We offer a comprehensive range of products, coupled with one-on-one access to trading and operations, so that our clients are assured the highest level of customer service.
Access to all major exchanges, both domestic and foreign, cash management and insurance products, research and investment banking services, are all available to National Securities' representatives and their clients. Service has remained the central theme of the Company's growth, typified by an earnest commitment to the Firm's reps and an emphasis on brokerage services, information technology, compliance expertise, trading staff, and a seasoned operations department. The continued commitment to these areas will fuel the Company's growth in the years to come.
National Securities is a wholly owned subsidiary of National Holdings Corporation (NASDAQ Symbol NHLD). National Securities is a member of the Financial Industry Regulatory Authority (FINRA) and Securities Investor Protection Corporation (SIPC).
Over the years, we have experienced a tremendous level of growth throughout our company. We have over 500 registered representatives while operating in over 70 locations throughout the United States as well as a presence in Europe.
About our Job openings:
At National Securities the broker trainee will be responsible for selling financial products and services to clients for investment purposes. To perform the job duties the candidate will study market conditions, market regulations, industry compliance, and financial suitability for clients. Knowledge of securities, investment plans, and market conditions, will all be taken into consideration when creating strategies for clients.
We prefer our stock brokers/financial advisors to have Bachelor's degrees in Business and or Economics along with some relevant experience but it is not required. We impose these requirements to successfully carry our complex and high-level duties of this professional position. An individual, who meets both the education and experience requirements, will be able to immediately perform the task of the positions offered.
Member of FINRA, SIPC
- Principals only. Recruiters, please don't contact this job poster.
- do NOT contact us with unsolicited services or offers