Brian Messick
5901 Sun Boulevard
Suite 206
St. Petersburg, FL 33715
7272954969
As dedicated independent financial advisors, WeberMessick Wealth Management places your financial goals at the forefront of our agenda. By seamlessly integrating our tax expertise with a well-rounded approach, we bring a comprehensive perspective to your financial landscape. Our holistic wealth management services encompass estate planning, investment management, financial planning, risk management, and tax planning, ensuring a thorough and personalized approach to meet your needs.
In our commitment to excellence, we have chosen to align with LPL Financial, a renowned and publicly traded company and one of the largest independent broker/dealers in the industry. With over 30 years of experience, LPL Financial oversees more than 7 million client accounts, boasting assets custodied at over $1 trillion as of September 30, 2023. Our advisors' affiliation with LPL Financial is rooted in its robust technology, unwavering security measures, and long-term stability, providing both our financial professionals and clients with confidence that their accounts are entrusted to capable hands.
See Disclosures
Firm Start Year
2006
No. of Employees
2-4
CRD#
4344934
Firm CRD#
6413
Name of Broker/Dealer
LPL Financial
Name of Custodial Firm
LPL Financial
Years of Experience in Financial Services
27
Number of Years with Current Firm
18
Work Experience
Brian has had the privilege of dedicating his entire professional career to a single firm. He commenced his journey with the predecessor of WeberMessick Wealth Management in 1997, right after earning his Bachelor of Science degree from Salisbury University. His commitment and expertise led him to ascend the ranks, culminating in his promotion to partner in 2006. Brian's credentials include the Series 7 (General Securities Representative) and Series 66 (Uniform State Law Exam) registrations held through LPL Financial, along with holding a Life, Health, and Variable Annuity License. These qualifications reflect his comprehensive understanding of the financial landscape, showcasing not only his tenure but also his continuous dedication to professional growth and excellence.
Work with the following types of clients
Businesses, Individual Investors
Advisory Services Provided
Investment Advice & Management, Estate Planning & Trusts, Insurance Products & Annuities, Financial Planning, Portfolio Management, Retirement Planning, 401K Rollovers, Wealth Management, Money Management, Education Funding and Planning, Financial Planning for Individuals, Financial Advice & Consulting, Financial Planning for Businesses
Registered Representative
Yes
Investment Advisor Representative
Yes
Acknowledged fiduciary
Yes
Compliance Disclosures in Last 5 years
I have a clean record
Criminal Disclosures in Last 5 years
I have a clean record
Certifications, Accreditations & Designations
CFP®, CPA
Securities Licenses
Series 7, Series 66
Insurance and Annuity Licenses
Life, Variable Annuity, Long Term Care, Variable Life, Annuity, Disability
Fee Structure
Fee-Based
Minimum Portfolio Size for New Managed Accounts
$500,000
Compensation Methods
Commissions, Based on Assets
Bachelor of Science - Accounting
Salisbury University
1992 -1996
RothIRA.org provides referrals to financial professionals of LPL Financial, LLC (LPL). RothIRA.org is not a current client of LPL for brokerage or advisory services. Financial professionals of LPL pay RothIRA.org cash compensation for these referrals, which creates the incentive for RothIRA.org to make these referrals, resulting in a conflict of interest.
LPL ADV 2A
https://www.lpl.com/content/dam/lpl-www/documents/disclosures/A58.pdf
Additional Detailed Disclosures
WeberMessick Wealth Management and LPL Financial do not provide legal advice or services. Please consult your legal advisor regarding your specific situation. Securities and Advisory services offered through LPL Financial, a Registered Investment Advisor, Member FINRA/SIPC . The LPL Financial Representatives associated with this site may only discuss and/or transact securities business with residents of the following states: AZ, CA, DC, DE, FL, GA, MA, MD, MI, NC, NJ, NY, OH, PA, SC, TN, VA, WA