Executive Financial Services, Ultra High Net Worth Associate
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Morgan Stanley is a leading global financial services firm providing a wide range of investment banking, securities, investment management and wealth management services. The Firm's employees serve clients worldwide including corporations, governments and individuals from more than 1,200 offices in 43 countries. As a market leader, the talent and passion of our people is critical to our success. Together, we share a common set of values rooted in integrity, excellence and strong team ethic. Morgan Stanley can provide a superior foundation for building a professional career - a place for people to learn, to achieve and grow. A philosophy that balances personal lifestyles, perspectives and needs is an important part of our culture. DEPARTMENT PROFILE: Executive Financial Services ("EFS") supports products and transactions involving restricted and/or control stock, often for Rule 144 Affiliates, Corporate Insiders, and large shareholders. These transactions include sales under Rule 144 or pursuant to prospectus registration, lending, hedging, gifting, or Rule 10b5-1 Trading Plans. We dedicate focus to assisting in liquidity needs through understanding the complexities of capital markets and requirements relating to compliance with SEC regulations. EFS conducts due diligence with Issuer counsel prior to the transaction, implements 10b5-1 contracts (including trade execution pursuant to the plan) and facilitates SEC filings, clearing and settlement of restricted trades. EFS at Morgan Stanley at Work is the industry leader in the suite of services for products and transactions involving Ultra High Net Worth (UHNW) executives, directors, and large shareholder and plays an integral role at the Firm as subject matter experts. As a part of the department, the role includes education to Financial Advisors ("FAs"), clients, and issuer counsel/corporate clients on SEC rules, capital markets, and operational considerations. You will liaise with Home Office colleagues such as Legal, Compliance, Risk, Structured Products, Private Bank, Stock Plan services and Senior MS Management. POSITION SUMMARY As an EFS UHNW Associate, you will be responsible for guiding advisors, their clients and Issuers through each step of EFS and Capital Markets process; origination, execution and settlement. As part of the UHNW Executive Financial Services Team, you will devote your time to developing solutions for clients and performing due diligence on transactions related to restricted and/or control securities and other IPO transactional support. Additionally, this position will also be responsible for the adoption and management of 10b5-1 trading plans for new and established Issuers, while maintaining a white glove service to our clients. The ideal candidate must have proven experience speaking to senior level executives and providing a concierge type service to Issuers, clients, advisors and partners throughout the Firm. KEY RESPONSIBILITES INCLUDE: B2B and B2C Coverage for IPO & Origination Support Partner with FAs and PWAs to develop liquidity solutions involving restricted/control securities, including readiness for IPO/M&A/liquidity events across B2B (corporate) and B2C (individual) channels; continuously improve processes to deliver a seamless client experience. Provide education and execution support to FAs and clients (sellers), including transaction process guidance and trade schedule considerations aligned with market/liquidity dynamics and operational readiness; proactively identify EFS opportunities and support advisor business development efforts. 10b5-1 Plan Implementation & Ongoing Support Lead Rule 10b5-1 plan implementation and onboarding with PWAs, issuers, and clients (sellers), including plan structuring and trade schedule design considerations (tax, legal, market, and optics). Support negotiation and onboarding of issuer 10b5-1 documentation, including coordination of trade schedules and due diligence. Transaction Management / Due Diligence Manage restricted/control transactions end-to-end, validating transaction requests and supporting documentation for accuracy and applicability of Rule 144 and resale under applicable registration statements, including nuanced scenarios such as hedging and pledging securities as collateral for lending. Conduct due diligence with issuer/company legal teams and internal partners; facilitate clearance and settlement of restricted shares, support required public filings, and maintain electronic transaction records in proprietary books-and-records systems. Cross-Functional Leadership & Controls Serve as a central point of contact across EFS specialist teams (Restricted/Control and 10b5-1) and key partners (WM Capital Markets/Trade Desk, Stock Plan Directors, Financial Advisors, Legal, Risk, Compliance, Technology, Morgan Stanley at Work colleagues, and Strategic Client Management) to coordinate crossover transactions, market updates, trading strategy, and volume discussions. Mainta