Numerous advisors affiliated with the Minneapolis Financial Group carry the FINRA Series 6, 63, 7, 8, and 24 securities registrations* in addition to being investment advisor representatives of MML Investors Services, LLC. Additionally, various advisors within our firm carry the following professional designations: CFP (Certified Financial Planner) certification, CLU (Chartered Life Underwriter), LUTC (Life Underwriter Training Council), and ChFC (Chartered Financial Consultant).

Lindsay Longballa, MFG Director of Operations, works with each of our new advisors to properly prepare for MFG licensing requirements before joining our firm.

* Series 6 (investment company products/variable contract), Series 63 (uniform securities state law), Series 7 (general securities representative), Series 8 (general securities sales supervisor), Series 24 (general securities principal).