Large-firm financial advisors in Grants Pass, OR

The right financial advisor for you depends on how you weigh location, expertise, experience, the clients they typically serve, and how they work with you.

When you're navigating complex financial decisions in Grants Pass, OR, working with a large-firm advisor can offer access to extensive resources and a broad team of specialists. A common pitfall is assuming that bigger firms always mean more personalized attention, which isn't always the case.

  • Firm resources. Ask how the advisor leverages their firm's size to benefit your specific financial goals, not just general capabilities.
  • Team collaboration. Confirm whether your advisor works with a dedicated team or if your case might be passed among various staff.
  • Local tax knowledge. Since Oregon has no sales tax but higher income taxes, check how they tailor strategies to state-specific tax rules.
  • Experience balance. Large firms often mix seasoned and newer advisors; inquire about your advisor's years of experience and how that impacts your planning.

Here are top matches to get you started. Review each profile to compare experience, credentials, and approach.

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Rodger J

CFP®, Series 63

Grants Pass, OR

LPL Financial

Rodger Jordan Jr. is a CFP® professional with 28 years of experience at LPL Financial, where he has worked since 1998. He holds a Series 63 license and operates out of Grants Pass, Oregon. Jordan also has a business entity for tax and investment purposes. LPL Financial is an SEC-registered investment adviser and broker-dealer serving individuals, retirement plans, banks, corporations, and charitable organizations through a nationwide network. The firm offers financial planning, advisory programs, retirement consulting, and brokerage services, with access to model portfolios and research.

College savings (529s, UTMA, etc.)
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Greyson B

Series 66

Grants Pass, OR

Rubicon Advisors

Greyson Back is a financial advisor at LPL Financial with a Series 66 designation and one year of industry experience. Prior to his advisory career, he worked for eight years at Dutch Bros. Coffee and served as Chief Compliance Officer at PrimaryHealth from 2014 to 2017. LPL Financial provides advisory and brokerage services to a diverse client base, including individual investors, retirement plan sponsors, institutions, and high-net-worth households. The firm offers a range of investment solutions supported by an in-house research team and delivers services through a large network of investment adviser representatives.

College savings (529s, UTMA, etc.) Options & derivatives strategies Private / alternative investments
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Russell M

CFP®, ChFC®, Series 63, Series 65, Series 66

Grants Pass, OR

Rogue Russell Investments

Russell Mc Almond is a financial advisor at Rogue Russell Investments in Grants Pass, Oregon. He holds the CFP® and ChFC® designations and has eight years of industry experience. Prior to founding Rogue Russell Investments, he was semi-retired for eight years. Rogue Russell Investments provides discretionary investment management and written financial planning services to individuals, high-net-worth clients, pension and profit-sharing plans, charitable organizations, and corporations. The firm emphasizes tailored portfolios based on client goals and risk tolerance, diversification, and regular account reviews using a variety of research sources.

Equity Recipients (RS/RSU, SOP, ESPP) College savings (529s, UTMA, etc.) Debt management
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Brenda S

CFP®, Series 66

Grant Pass, OR

Go Wealth Management

Brenda Stein is a CFP® professional with 12 years of experience in the financial industry. She currently works at Go Wealth Management and has previously held roles at NEXT Financial Services, Purshe Kaplan Sterling Investments, SeaCrest Wealth Management, and Edward Jones. Outside of her advisory work, she is involved with a trust entity related to a rental property and also sells fixed insurance products. Go Wealth Management provides investment and wealth management services to individuals, high-net-worth clients, trusts, estates, foundations, and employer-sponsored retirement plans. The firm employs a team-based research approach and integrates financial planning with discretionary and non-discretionary portfolio management.

Retirement income strategy Retirement plans for business owners (SEP, solo 401k) Multi-generational wealth transfer Private / alternative investments Founder/Business Owner Retired Approaching retirement Mid-Career Professionals
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Matthew S

Series 66

Grants Pass, OR

Kingsview Wealth Management, LLC

Matthew Stolen is a financial advisor with Kingsview Wealth Management, LLC, holding a Series 66 designation and over 21 years of industry experience. He has previously worked at firms including Foreside Fund Services, LLC, M Financial Group, and LPL Financial. Outside of advisory work, he owns Stolen Consulting, providing compliance consulting to RIAs, and Scrub Club, LLC, a commercial cleaning business. Kingsview Wealth Management serves a diverse client base including individuals, retirement plans, trusts, foundations, and corporate entities, offering wealth management, financial planning, and asset management through a network of Investment Adviser Representatives and an internal portfolio management group.

College savings (529s, UTMA, etc.) Tax strategies for small businesses Options & derivatives strategies Founder/Business Owner Retired
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Jeffrey P

Series 66

Dacula, GA

Merrill

Jeffrey Park is a financial advisor at Merrill with eight years of industry experience. He holds a Series 66 designation and has worked at Merrill and affiliated firms since 2011, including roles at JPMorgan Chase Bank and J.P. Morgan Securities. Outside of his advisory work, he is a sole owner and co-owner of family rental properties in Lawrenceville, Georgia. Merrill, together with its affiliate Managed Account Advisors LLC, provides managed account services to Bank of America fiduciary clients through the Select Portfolio Solutions Program, offering model-based and discretionary strategies for individuals, high-net-worth clients, and institutional investors.

Tax-loss harvesting Active portfolio management Wealth management
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Scott M

Series 63, Series 65

New York, NY

Morgan Stanley

Scott Mahoney is a financial advisor with Morgan Stanley in New York, NY, holding Series 63 and Series 65 credentials and bringing 34 years of industry experience. He has been with Morgan Stanley since 2009, including roles at Morgan Stanley Private Bank, N.A. Outside of his advisory work, he is involved with Giants Foot Cubed LLC. Morgan Stanley Wealth Management is a large SEC-registered investment adviser and broker-dealer that serves both individual and institutional clients. The firm offers a wide range of advisory programs and financial planning services supported by structured planning tools and broad investment resources.

General estate planning guidance
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Elizabeth B

Series 66

New York, NY

J.P. Morgan Securities

Elizabeth Brown is a Series 66 licensed financial advisor with J.P. Morgan Securities in New York, NY, where she has worked since 2012. She has 26 years of industry experience. J.P. Morgan Securities provides institutional consulting services to clients such as corporations, foundations, and defined contribution plan sponsors, offering asset allocation advice, investment manager and fund searches, and customized performance reporting through a select group of Wealth Advisors. The firm combines large institutional advisory operations with brokerage, distribution, and investment management capabilities.

Wealth management Executive Founder/Business Owner
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Wesley P

Series 63, Series 66

Fort Worth, TX

Wells Fargo Clearing

Wesley Pool is a financial advisor at Wells Fargo Clearing with 15 years of industry experience. He holds Series 63 and Series 66 licenses and previously worked at JPMorgan Securities LLC for seven years. Outside of finance, he has been involved with #TagMeBro LLC and Fry Street Public House. Wells Fargo Advisors is a national securities firm serving individual, corporate, and institutional clients with investment advisory services, financial planning, and retirement plan consulting. The firm manages approximately $671 billion in assets and offers both brokerage and advisory solutions.

Retired Founder/Business Owner
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Willie M

Series 63, Series 66

Cary, NC

Equitable Advisors

Willie Myles is a financial advisor with Equitable Advisors in Cary, NC, holding Series 63 and Series 66 licenses and bringing 16 years of industry experience. He has worked at Equitable Advisors since 2016 and previously at AXA Advisors, LLC. Outside of his advisory work, he serves as co-chairman of a fundraising campaign for the nonprofit Alpha Light Fund Inc., focused on renovating the House of Alpha. Equitable Advisors serves a diverse client base including individual, high-net-worth, retirement plan, corporate, charitable, and institutional clients, offering financial planning, broker-dealer services, insurance distribution, and access to third-party asset management programs. The firm operates as both an SEC-registered investment adviser and broker-dealer, leveraging LPL-sponsored programs and endorsed TAMPs to deliver advisory and brokerage solutions.

Retirement income strategy Social Security optimization Founder/Business Owner Retired Executive Approaching retirement Baby Boomers (Born 1946-1964)

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