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Investment Advisor Associate Jobs in Tennessee (NOW HIRING)

Partners with Truist product specialists, including investments, trust, mortgage, insurance, etc ... Team and peer group role model for other Wealth Advisors and Wealth Associates * Continuously act ...

Associate - Estate Admin Team

Nashville, TN · On-site

$17 - $21/hr

... investment management firm advising high-net-worth and ultra-high-net-worth clients. As an industry ... We are seeking an Associate to join the Estate Administration Team in our Nashville headquarters.

Partners with Truist product specialists, including investments, trust, mortgage, insurance, etc ... Team and peer group role model for other Wealth Advisors and Wealth Associates * Continuously act ...

Showing results 41-60

Investment Advisor Associate information

See Tennessee salary details

$34.9K

$61K

$102.1K

How much do investment advisor associate jobs pay per year?

As of Sep 3, 2026, the average yearly pay for investment advisor associate in Tennessee is $60,953.00, according to ZipRecruiter salary data. Most workers in this role earn between $36,300.00 and $74,900.00 per year, depending on experience, location, and employer.

What is an investment advisor associate?

Investment Advisor Associates are financial professionals who support investment advisors or financial advisors in managing client portfolios, conducting research, and providing financial planning services. They often help with preparing reports, communicating with clients, and implementing investment strategies under the supervision of a senior advisor. This role is typically an entry- to mid-level position and can serve as a stepping stone to becoming a fully licensed investment advisor. Investment Advisor Associates may also assist in client onboarding, compliance, and administrative duties. Their goal is to help clients achieve their financial objectives while gaining experience in the wealth management industry.

How does an investment advisor associate typically collaborate with senior advisors and clients?

Investment Advisor Associates often work closely with senior advisors by preparing client presentations, conducting market research, and assisting in the development of tailored investment strategies. They frequently participate in client meetings, helping to address client questions and support relationship management. This collaborative environment provides valuable exposure to client-facing responsibilities and mentorship from experienced advisors, enabling associates to build their skills and advance within the firm.

What are the key skills and qualifications needed to thrive as an investment advisor associate, and why are they important?

To thrive as an Investment Advisor Associate, you need a solid understanding of financial markets, investment strategies, and regulatory compliance, often supported by a bachelor’s degree in finance or a related field. Familiarity with portfolio management software, financial planning tools, and relevant certifications such as the Series 7 or Series 66 licenses is typically required. Strong interpersonal skills, attention to detail, and effective communication help build client trust and support team collaboration. These competencies are crucial for delivering sound financial advice, maintaining compliance, and fostering long-term client relationships.

What is the difference between Investment Advisor Associate vs Financial Advisor?

AspectInvestment Advisor AssociateFinancial Advisor
CredentialsSeries 7, 66, or 65 licenses; relevant FINRA certificationsSeries 7, 66, or 65 licenses; CFP or other certifications often preferred
Work EnvironmentSupport role within investment firms, assisting advisors and clientsClient-facing role providing personalized financial planning and investment advice
Employer & Industry UsageFinancial services firms, investment advisory firmsIndependent or firm-based financial planning practices, banks, wealth management

While both roles require similar licenses and work within the financial industry, Investment Advisor Associates primarily support senior advisors and handle administrative tasks, whereas Financial Advisors directly engage with clients to develop personalized financial plans and investment strategies.

How much do investment advisor associates get paid?

Investment advisor associates typically earn a median annual salary of around $60,000 to $80,000, with higher earnings possible based on experience, location, and performance. Entry-level positions may start lower, while experienced associates or those with certifications like the Series 7 or 66 can earn more, often supplemented by bonuses and commissions.

What are the most commonly searched types of Investment Advisor jobs in Tennessee?

The most popular types of Investment Advisor jobs in Tennessee are:

What cities in Tennessee are hiring for Investment Advisor Associate jobs?

Cities in Tennessee with the most Investment Advisor Associate job openings:

Infographic showing various Investment Advisor Associate job openings in Tennessee as of August 2026, with employment types broken down into 1% As Needed, 70% Full Time, 26% Part Time, 1% Temporary, and 2% Contract. Highlights an 96% Physical, 2% Hybrid, and 2% Remote job distribution, with an average salary of $60,953 per year, or $29.3 per hour.

Investor Finance & Accounting Associate

Fogelman

Memphis, TN • On-site

$80 - $115/hr

Other

Re-posted 15 hours ago


Fogelman rating

8.3

Company rating: 8.3 out of 10

Based on 8 frontline employees who took The Breakroom Quiz

49th of 207 rated real estate companies


Job description

Fogelman is a nationally recognized, fully integrated multifamily real estate company that invests in and manages apartment communities, backed by six decades of experience, dynamic associates, and expert leadership. Our collaborative culture has earned us recognition as the #2 ranked Best Places to Work in Multifamily for 2026 . With teamwork, experience, and expertise at the core of who we are, we create welcoming communities for thousands of residents while building trusted relationships and durable value for our partners, investors, and associates.

SUMMARY

The Investor Finance & Accounting Analyst is responsible for supporting investor accounting, capital activity management, investor reporting, and joint venture financial operations across the Company's investment platform. This position prepares and maintains investor capital accounts, partnership allocations, investment performance reporting, and financial reporting deliverables while supporting investment entity accounting, month-end close activities, and major capital transactions. The role partners with internal departments and external stakeholders to ensure accurate reporting, compliance with governing agreements, and effective administration of investor and investment-related financial information.

ESSENTIAL DUTIES AND RESPONSIBILITIES Investor Capital Management & Reporting
  • Manage quarterly investor distribution processes, including distribution calculations, allocation schedules, supporting workpapers, review packages, investor communications, and related accounting entries.
  • Prepare and maintain investor capital accounts, ownership schedules, capital call notices, contribution tracking, funding schedules, and related investor activity records.
  • Support preferred return calculations, partnership allocations, promote structures, waterfall calculations, and investment return analyses.
  • Prepare recurring investor reporting packages, capital account statements, vehicle summaries, and quarterly and annual investor reporting deliverables.
  • Prepare investment performance reporting, including IRR, DPI, equity multiples, and other investor-facing performance metrics.
  • Prepare and record accounting entries related to investor capital activity, distributions, allocations, and investment entities.
  • Perform month-end and quarter-end close activities for investment and joint venture entities.
  • Prepare account reconciliations and analyze investment-related transactions.
  • Perform bank reconciliations and investigate variances associated with cash activity and intercompany transactions.
  • Support general ledger activities, fair value accounting adjustments, financial statement preparation, and recurring accounting processes.
Joint Venture & Capital Partner Support
  • Support institutional investors, joint venture partners, lenders, auditors, tax advisors, and internal stakeholders with reporting requests, due diligence activities, and information requests.
  • Coordinate with Portfolio Management, Asset Management, Capital Formation, Treasury, Tax, and Accounting teams to ensure consistency across investor and financial reporting.
  • Support recapitalizations, refinancings, dispositions, acquisitions, and other significant capital events.
  • Assist with loan covenant reporting, lender compliance requirements, and transaction-related reporting activities.
Process Improvement & Systems Administration
  • Document workflows and maintain operating procedures that support consistency, transparency, and scalability.
  • Maintain reporting schedules, performance models, liquidity analyses, cash flow forecasts, and capital planning tools.
  • Reconcile information across accounting systems, treasury systems, investment management systems, and investor reporting packages.
  • Identify opportunities to improve automation, reporting efficiency, data quality, and workflow effectiveness.
  • Support investment management systems administration, including investor and ownership record maintenance.
  • Maintain proficiency within the Company's investment management software platform and related reporting tools.
Compliance & Special Projects
  • Support annual audits, investor audits, tax reporting processes, and compliance requirements.
  • Provide backup support for investor-related treasury activities in accordance with established internal controls and authorization procedures.
  • Perform additional duties and special projects as assigned.
QUALIFICATIONS AND SKILLS
  • Bachelor's degree in Accounting, Finance, Real Estate, or a related field.
  • Minimum of three years in investor finance, fund accounting, portfolio finance, or related financial roles.
  • Strong understanding of accounting principles, finance, real estate investment structures, joint venture economics, and investor reporting requirements.
  • Knowledge of partnership allocations, capital accounts, preferred returns, waterfalls, promote structures, and investment performance metrics.
  • Advanced proficiency in Microsoft Excel, financial modeling, reconciliations, and financial reporting.
  • Strong analytical, organizational, and problem-solving skills.
  • Exceptional attention to detail and ability to produce accurate, audit-ready work.
  • Effective written and verbal communication skills with the ability to interact professionally with investors and senior leadership.
  • Ability to manage multiple projects, deadlines, and competing priorities.
  • Demonstrated process-improvement mindset and commitment to enhancing scalability and efficiency.
  • Familiarity with investment management platforms such as Yardi Investment Management, Juniper Square, Investran, MRI Investment Management, or similar systems preferred.
ENVIRONMENTAL AND PHYSICAL DEMANDS

The environmental and physical demands described here are representative of those an individual must meet to successfully perform the essential functions of this job. Reasonable accommodations may be made to enable individuals with disabilities to perform the essential functions.

  • Strong constant finger dexterity with ability to grasp/turn. Ability to remain in a stationary position for extended periods while working at a computer.
  • Ability to communicate effectively in person, by phone, and through electronic means.
  • Occasional travel may be required.

Fogelman is a drug free workplace and Equal Opportunity Employer. Offers are contingent upon the successful completion of the pre-employment process which may include criminal background, motor vehicle reporting, drug testing, and reference checks

Fogelman is a drug free workplace and Equal Opportunity Employer. Offers are contingent upon the successful completion of the pre-employment process which may include criminal background, motor vehicle reporting, drug testing, and reference checks.

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