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Christopher D
Series 63, Series 65
Oyster Bay, NY
&PARTNERS
Christopher Davis is a financial advisor at &Partners with 32 years of industry experience. He holds Series 63 and Series 65 designations and has previously worked at Wells Fargo Advisors, Raymond James Financial Services, and Steward Partners Investment Advisory. Outside of his advisory role, he serves as a FINRA disciplinary panelist and is a trustee for his son's investment trust. &Partners serves a diverse client base, including individuals, institutions, retirement plans, and charitable organizations, offering both advisory and brokerage services. The firm employs a range of investment strategies through proprietary models and third-party managers, and it operates with a combination of roles uncommon among large enterprises, including broker-dealer, RIA, and municipal advisor functions.
Tyler B
Series 63, Series 65
Stamford, CT
Steward Partners Investment Advisory, LLC
Tyler Burns is a financial advisor at Steward Partners Investment Advisory, LLC with three years of industry experience. He holds Series 63 and Series 65 licenses and previously worked at Raymond James & Associates, Inc. and UBS Financial Services. Steward Partners Investment Advisory, LLC is an SEC-registered enterprise-scale RIA managing approximately $36.7 billion in regulatory assets. The firm serves individuals, pension and profit-sharing plans, corporations, trusts, estates, and charitable organizations, offering a range of advisory and portfolio management solutions.
Benjamin B
Series 66
Melville, NY
Voya financial Advisors, Inc.
Benjamin Balkaran is a financial advisor with Voya Financial Advisors, Inc. in Melville, NY, holding a Series 66 designation and four years of industry experience. His work history includes roles at Voya Financial Advisors and as an independent insurance agent selling fixed insurance products. He also manages administrative support activities under a related business entity. Voya Financial Advisors, Inc. is a dual-registered SEC investment adviser and broker-dealer serving individuals, employer-sponsored retirement plans, and charitable and corporate clients. The firm offers financial planning, portfolio management through wrap and unified managed account programs, and brokerage and insurance product distribution, with advisory services provided primarily on a non-discretionary basis.
Robert S
Series 66
Hauppauge, NY
GWN Securities Inc.
Robert Seipp is a financial advisor at GWN Securities Inc. with 13 years of industry experience. He holds a Series 66 designation and has been with GWN Securities since 2015. In addition to his advisory work, he teaches high school math at the Wappingers Central School District. GWN Securities is an SEC-registered investment adviser and broker-dealer serving individual and business clients through discretionary managed accounts, financial planning, and access to third-party sub-advisers and model portfolios. The firm manages approximately $3.65 billion across over 37,000 client accounts and offers a range of managed-account programs that include traditional and more active investment strategies.
Maria Carmen A
Series 63, Series 65
Hauppauge, NY
CWM, LLC
Maria Carmen Abustan is a financial advisor at CWM, LLC with seven years of industry experience. She holds Series 63 and Series 65 licenses and has previously worked at Mitlin Financial, Angulo Strategies LLC, NYLIFE Securities LLC, and New York Life Insurance Company. In addition to her advisory role, she is also an insurance agent involved in life insurance sales. CWM, LLC is an SEC-registered investment adviser that serves a diverse client base including individuals, high-net-worth families, foundations, corporations, and institutions. The firm offers portfolio management, financial planning, and retirement-plan services, employing a discretionary model portfolio approach supported by an in-house Investment Committee and various customization tools.
Drew S
Series 63, Series 65
Melville, NY
Eagle Strategies (NY Life)
Drew Schmidt is a financial advisor with Eagle Strategies (NY Life) in Melville, NY, holding Series 63 and Series 65 licenses and bringing 24 years of industry experience. He has been affiliated with Eagle Strategies since 2007 and holds concurrent roles at Wealth Conservation Group, Inc. and RSA Financial Group. Outside of his advisory work, Schmidt serves as the head of the finance committee at Centerport United Methodist Church. Eagle Strategies provides financial planning, investment management, and retirement-plan advisory services to a diverse client base that includes individuals, defined contribution and benefit plans, as well as charitable and corporate entities. The firm emphasizes tailored advice delivered primarily on a non-discretionary basis within an integrated New York Life affiliate structure.
Stephen G
Series 63, Series 65
Melville, NY
Voya financial Advisors, Inc.
Stephen Grande is a financial advisor with VOYA Financial Advisors, Inc. in Melville, NY, holding Series 63 and Series 65 credentials and bringing 28 years of industry experience. He has worked at VOYA since 2014 and previously at Anthony Izzo & Associates and Benefits Planning Corporation. Outside of his advisory role, he operates as an independent insurance agent specializing in fixed insurance products. VOYA Financial Advisors, Inc. provides investment advisory, brokerage, financial planning, and retirement plan services to a diverse client base including individuals, charitable organizations, corporations, and plan sponsors. The firm offers a range of adviser-led and manager-driven investment programs, combining both discretionary and non-discretionary services alongside an active broker-dealer distribution model.
Carissa L
Series 63, Series 65
Port Jefferson, NY
Citigroup Global Markets
Carissa Luna is a financial advisor at Citigroup Global Markets with eight years of industry experience. She holds Series 63 and Series 65 licenses and has worked at Citibank NA since 2008. She is also involved in educational activities spanning over 20 years. Citigroup Global Markets serves individual and institutional clients across various wealth segments, offering a range of investment advisory programs, broker-dealer execution, and custody services. The firm employs multi-asset, multi-manager strategies and maintains distinctive institutional roles, including in-house research and regulatory functions.
Anthony R
Series 63, Series 65
Hauppauge, NY
GWN Securities Inc.
Anthony Romeo is a financial professional with 34 years of industry experience, currently affiliated with GWN Securities Inc. since 1995. He also holds a position at CGAA Inc., where he provides financial and insurance services including life, health, long-term care, and annuities. His credentials include Series 63 and Series 65 licenses. GWN Securities offers investment advisory and related services to individual and corporate clients, utilizing a range of managed account programs and financial planning solutions. The firm employs a mix of affiliated and unaffiliated sub-advisers and incorporates market-timing and momentum-based strategies within certain legacy programs.
Richard H
Series 63, Series 65
Stamford, CT
ROCKEFELLER FINANCIAL Llc
Richard Hassan is a financial advisor at Rockefeller Financial LLC with 32 years of industry experience. He holds Series 63 and Series 65 licenses and previously worked at Raymond James & Associates from 2016 to 2022 before joining Rockefeller Financial in 2022. Rockefeller Financial LLC serves high-net-worth and ultra-high-net-worth individuals, families, family offices, institutional clients, retirement plans, foundations, and corporations. The firm provides discretionary and non-discretionary portfolio management, financial planning, and consulting, operating both as an advisory and a registered broker-dealer with a consolidated investment platform offering a range of portfolio management and alternative investment solutions.
Ravi A
Series 63, Series 65
Dix Hills, NY
Citigroup Global Markets
Ravi Adimoolam is a financial advisor at Citigroup Global Markets with 36 years of industry experience. He holds the Series 63 and Series 65 designations and has been with Citigroup since 2014. Citigroup Global Markets serves individual and institutional clients across various wealth segments, offering a wide range of investment advisory programs and brokerage services. The firm employs multi-asset, multi-manager strategies and maintains unique market roles, including operations as a swap dealer and futures commission merchant.
Patricia S
Series 63, Series 65
Port Jefferson, NY
Kestra Advisory
Patricia Smagin is a financial advisor with Kestra Advisory, holding Series 63 and Series 65 licenses and possessing 16 years of industry experience. Her prior roles include positions at UBS Financial Services and Merrill. She is also involved with Kentra Advisory Services LLC, providing fee-based investment advisory services and client reviews. Kestra Advisory Services offers investment advisory and retirement-plan consulting to institutional and individual clients, including plan sponsors. The firm provides services ranging from fiduciary consulting and plan design to employee education and pooled plan solutions, managing approximately $79.8 billion in assets with a focus that includes large institutional investors such as sovereign wealth funds.
Rw B
Series 66
Port Jefferson, NY
Kestra Advisory
Rw Barnes Jr. is a financial advisor at Kestra Advisory with 10 years of industry experience. He holds a Series 66 designation and has worked at Kestra Advisory since 2018, with prior experience at MassMutual and MetLife Securities. Barnes Jr. also serves as president of his own wealth management firm established for tax reporting purposes. Kestra Advisory Services provides investment advisory and retirement-plan consulting to a diverse range of institutional and individual clients, offering services including fiduciary consulting, plan design, and advisor-managed accounts. The firm serves large institutional investors and utilizes multiple management platforms, supporting discretionary trading within its supervisory framework.
Vanessa I
Series 65, Series 63
Hauppauge, NY
Bankers Life Advisory Services, Inc.
Vanessa Inesti is a financial advisor with Bankers Life Advisory Services, Inc., holding Series 65 and Series 63 licenses and five years of industry experience. She has been with Bankers Life since 2015, serving as both an advisor and a unit field trainer responsible for recruiting and training insurance agents. In this role, she focuses on insurance products including life insurance, Medicare supplements, and long-term care. Bankers Life Advisory Services, Inc. is an SEC-registered investment adviser serving mass-affluent and high-net-worth individuals through discretionary portfolio management, investment consulting, and retirement plan consulting. The firm employs a combination of fundamental, technical, and cyclical analysis to tailor asset allocations and portfolio management according to client goals and risk tolerances.
Carlo R
Series 66
Garden City, NY
Guardian Life
Carlo Ritaccio is a financial advisor at Guardian Life with two years of industry experience. He holds a Series 66 designation and has worked at Park Avenue Securities and Guardian Life since 2024. Outside of his advisory role, he operated Enzo's Pizzeria from 2023 to 2024. Park Avenue Securities LLC, doing business as Park Avenue® Wealth Management, provides brokerage, financial planning, and retirement plan consulting services to individuals, pension plans, charitable organizations, and corporate clients. The firm offers both discretionary and non-discretionary advisory relationships, utilizing a combination of proprietary and third-party investment programs.
Charlie T
Series 66
Melville, NY
Voya financial Advisors, Inc.
Charlie Tarazona is a financial advisor with Voya Financial Advisors, Inc., holding a Series 66 designation and four years of industry experience. He has worked at Voya Financial Advisors since 2021 and previously held positions at Broadridge/Solomon Page, Columbus Delivery, SUNY Oswego, and Centerplate. Tarazona is also an independent insurance agent involved in the sale of fixed insurance products. Voya Financial Advisors, Inc. is a dual-registered SEC investment adviser and broker-dealer serving individuals, employer-sponsored retirement plans, and charitable and corporate clients. The firm offers financial planning, portfolio management, third-party money manager access, and brokerage and insurance product distribution using both proprietary and third-party strategies.
Stephen P
CFP®, Series 63, Series 65
Stamford, CT
Creative Planning
Stephen Polizzi is a CFP® professional with 24 years of industry experience, currently serving as a financial advisor at Creative Planning. His prior roles include positions at Neuberger Berman and Mass Mutual Life Insurance Company. Creative Planning provides investment advisory and financial planning services to a diverse client base, including individuals, corporations, and retirement plans. The firm employs a financial planning-led investment process focused on low-cost indexing and buy-and-hold strategies, supported by a large advisory team and integrated private market offerings.
John M
Series 66
Stanford, CT
Empower Advisory Group
John Mc Dermott is a financial advisor at Empower Advisory Group with seven years of industry experience. He holds a Series 66 designation and has worked at several firms including SEI Investments Management Corp and Merrill. Empower Advisory Group provides financial planning and investment management primarily to employer-sponsored retirement plan sponsors and their participants, as well as to Empower Premier IRA and certain retail brokerage account holders. The firm offers integrated services that emphasize long-term portfolio returns and annual rebalancing within plan lineups selected by plan sponsors.
Timothy L
Series 63, Series 65, Series 66
Port Jefferson, NY
Kestra Advisory
Timothy Longo is a financial advisor at Kestra Advisory with 27 years of industry experience. His prior experience includes nine years at American Capital Partners, LLC. He holds Series 63, Series 65, and Series 66 credentials. Kestra Advisory Services provides investment advisory and retirement-plan consulting to plan sponsors and a broad mix of institutional and individual clients. The firm serves very large institutional investors, including sovereign wealth funds, and offers services such as fiduciary consulting, plan design, and advisor-managed accounts.
Richard Z
CFP®, ChFC®, Series 63, Series 65
Huntington, NY
Kestra Advisory
Richard Zacharoff is a CFP® and ChFC® with 40 years of experience in the financial services industry. He currently serves with Kestra Advisory and Kestra Investment Services, LLC, and has prior experience with Guardian Life Insurance Company and Mutual of New York. He is also the owner of an insurance business, Richard E. Zacharoff & Associates, LLC, focusing on sales and marketing. Kestra Advisory Services provides investment advisory and retirement-plan consulting to institutional and individual clients, offering services such as fiduciary consulting, plan design, employee education, and advisor-managed accounts. The firm serves a diverse client base including large institutional investors and sovereign wealth funds.
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