Your Financial Advisors
After working as a CPA at McGladrey, David Murdock began his financial services career in 1993 with New England Financial. Experience as an auditor provided a great springboard into the role as a financial advisor. After his first eight years of experience as a financial advisor, Dave moved his practice to Servion to manage and grow the company's financial planning business. Today, Servion Financial Advisors serves 18 credit unions and thousands of their members with a wide variety of financial planning services.
Dave and the team provide an excellent financial planning experience. Dave believes that company retirement plan participants should not be left on their own to manage one of their most significant retirement assets. Providing sound financial advice in an unbiased manner to those seeking assistance is a responsibility he takes very seriously. Dave is passionate about helping create successful road maps according to each individual's needs.
Dave has made his home in the Twin Cities for the last 25 years. He has raised his three children here and is very active in their lives. Dave also enjoys the outdoors, whether it is golfing, hunting, biking, or traveling.
Cetera Advisor Networks, LLC | Direct Line: (651) 765-6778 | email@example.com
Randall W. Thiel is a Financial Advisor that has acquired the necessary registration in securities and licensing in insurance products to provide advice and direction in the complicated world of investments.
Randall is a life-time resident of Minnesota. After graduating high school from his hometown of Glencoe, Randall moved to the Twin Cities and where he has made his home since. Randall is a graduate of Metropolitan State University with a Bachelor of Science Degree in Business Administration.
Randall entered the financial services industry in 1993, and has built up a clientele that consists of individuals as well as small business owners. Randall places emphasis on intelligent decisions by working closely with each client to develop a plan for their specific needs. Knowledge and experience play key roles in helping Randall's clients move effectively toward their financial goals.
Cetera Advisor Networks, LLC | Direct line: (651) 787-9534 | firstname.lastname@example.org
Dave began his career in Financial Services nine years ago with a national financial institution as a Loan Officer and Sales Manager in residential lending.
As a Financial Advisor, Dave is dedicated to educating clients and providing the information needed to help them make smart financial decisions. Dave focuses on developing a plan tailored to those goals and their unique stage in life. He works with individuals as well as small business owners to help them reach those financial goals.
Dave believes that financial guidance is important for everyone regardless of assets, income, or circumstance. He is committed to help people feel confident about their financial decisions and achieve greater financial success.
Dave grew up in Roseville and graduated from Northern Illinois University where he was a member of the Huskie's Tennis team. Today Dave lives in Roseville with his wife Jen and their two boys Ryan and Nate. When not working you can find Dave coaching his son's baseball and basketball teams and enjoying time with family and friends.
Cetera Advisor Networks, LLC | Direct Line: (651) 765- 6787 | email@example.com
Securities and advisory services offered through Cetera Advisor Networks, LLC, member FINRA/SIPC. Investments are: *Not FDIC/NCUSIF insured *May lose value *Not financial institution guaranteed *Not a deposit *Not insured by any federal government agency. Cetera is under separate ownership from any other named entity.
Due to various state regulations and registration requirements concerning the dissemination of information regarding investment products and services, we are currently required to limit access of the following pages to individuals residing in states where we are currently registered. A Broker/Dealer, Registered Investment Adviser, Registered Representative or Investment Adviser Representative may only transact business in a particular state after licensure or satisfying qualifications requirements of that state, or only if they are excluded or exempted from the states Broker/Dealer, Registered Investment Adviser, or Registered Representative or Investment Adviser Representative requirements, as the case may be; and follow-up, individualized responses to consumers in a particular state by Broker/Dealer, Registered Investment Adviser, Registered Representative or Investment Adviser Representative that involve either the effecting or attempting to effect transactions in securities or the rendering of personalized investment advice for compensation, as the case may be, shall not be made without first complying with the states Broker/Dealer, Registered Investment Adviser, Registered Representative or Investment Adviser Representative requirements, or pursuant to an applicable state exemption or exclusion.
For information concerning the license status or disciplinary history of a Broker/Dealer, Registered Investment Adviser, Registered Representative, or Investment Adviser Representative, a consumer should contact his or her stated securities law administrator.
Investment products and services from this representative(s) available only to residents of Minnesota (MN).