Broker Check

Qualifications

Larry owns Gordon Financial Services, LLC., and is a Financial Representative under Grove Point Financial, LLC, a national broker-dealer. Larry began his career in the insurance business in 1980. He joined Atlantic Risk Management Corporation in 1991 and started their Employee Benefits Department, becoming a partner several years later. He began his securities practice in 1995. Larry and his partners sold Atlantic Risk Management to BB&T Insurance Services in 2011. In July, 2016, Larry formed Gordon Financial Services, LLC to focus exclusively on his financial advisory and 401(k) practices.

Larry currently holds the following designations and FINRA securities registrations:

  • Chartered Life Underwriter (CLU)
  • Chartered Financial Consultant (ChFC)
  • Accredited Investment Fiduciary (AIF)
  • Series 6 – Investment Company Products such as mutual funds/Variable Contracts
  • Series 62 – Registered Representative for corporate equities and corporate bond debt securities
  • Series 63 – Uniform Securities Agent – State License
  • Series 65 – Uniform Investment Advisor Law

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