
This role is a 12-week educational program in Downtown Minneapolis designed to prepare participants for the SIE, Series 63, and Series 7 licensing exams required for securities industry registration. The position involves attending structured classes, studying financial regulations, estate planning, and tax implications, and utilizing software tools to simulate wealth management scenarios. Participants collaborate with peers and complete practice exams to master the content areas outlined by FINRA. The opportunity is appealing as passing the required exams leads to consideration for permanent internal positions within the firm. The program offers a structured learning environment for individuals motivated to build a career in financial sales and wealth management.
