
bonnie masamery
compliance manager
About
Registered Principal currently holding Series 7, 63 and 24 registrations. Securities are offered through Cetera Advisor Networks LLC, a securities broker/dealer (member FINRA / SIPC) and a Registered Investment Adviser. Cetera is under separate ownership from any other named entity. Georgetown Financial Group, Inc. is a separate entity from and is not affiliated with Cetera Advisor Networks, LLC. Neither Georgetown Financial Group, Inc. is a securities broker/dealer nor a Registered Investment Adviser.
united states
somers
financial services
series 24, securities, series 63, aml, series 7, broker dealer, compliance management, operations management, regulatory compliance, field operations, field training
Experience

director, compliance
massmutual financial group

director, regional sales supervision
metlife

director, broker and dealer regional osj and field operations-ws griffith
phoenix life insurance company

compliance manager
georgetown financial group, inc.
bonnie masamery's Contact Information
Phone
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