Buffalo First Wealth Management, LLC



Similar documents
Anderson Financial Advisors, LLC

Dennis M. Breier 16W455 S. Frontage Road Suite 311 Burr Ridge, IL 60527

Form ADV Part 2B Individual Disclosure Brochure. Mark W. McGorry Personal CRD Number: Investment Adviser Representative

ETHAN L. PEPPER, CFP

Part 2B of Form ADV: Brochure Supplement

Servus Capital Management, LLC FORM ADV PART 2B BROCHURE SUPPLEMENT

March 9, Additional information about Edward Vance also is available on the SEC s website at

7025 W Grandridge Blvd, Ste B Kennewick WA Erik R. Pielstick. 115 N 50 th Avenue, Ste B Yakima WA CRD# Financial Management, Inc.

Form ADV Part 2B Individual Disclosure Brochure

Part 2A of Form ADV: Firm Brochure

Rockhaven Capital Management, LLC 132 Rock Haven Lane Pittsburgh, PA /30/12

ADV Part 2. Additional information about Shotwell Rutter Baer is available on the SEC s website at

GLOBAL WEALTH MANAGEMENT

Keefer Pension Consulting, Inc. Form ADV Part 2A Disclosure Brochure

Form ADV Part 2A Disclosure Brochure

AP Wealth Management, LLC FORM ADV PART 2A BROCHURE

Sincerely, Philip H. Luccock, CFP, CMA. Stacy Myers Shepard

SeaCure Advisors LLC. Form ADV Part 2A Disclosure Brochure

1491A East Venice Avenue Venice, Florida (941) FSCMLLC.com Date: 12/31/2013 FORM ADV PART 2A BROCHURE

Jeffrey Myers, CFP, Owner Personal CRD # Long Island Wealth Management, Inc.

Cornerstone Financial Planning, LLC

Vega Capital Group LLC

Red Spruce Capital, LLC. Form ADV Part 2A Disclosure Brochure

Item 1: Cover Page. Part 2B of Form ADV: Brochure Supplement

FORM ADV (Paper Version) UNIFORM APPLICATION FOR INVESTMENT ADVISER REGISTRATION

State Registration Fact Sheet

Snowden Capital Advisors LLC

AdviseMe National Advisors, Registered Investment Advisor FORM ADV PART 2 BROCHURE

Form ADV, Part 2A: FIRM BROCHURE

IQTick Advisors. Form ADV Part 2A Disclosure Brochure

Snowden Capital Advisors LLC

Brochure Supplement (Part 2B of Form ADV)

PRIVATE WEALTH MANAGEMENT OF NORTH CAROLINA, LLC 129 W. BELLE STREET HENDERSON, NC P: (252) F: (252)

Oaktree Capital Partners, LLC. Form ADV Part 2A Disclosure Brochure

Island Light Capital Corporation. Form ADV Part 2A Disclosure Brochure

Treece Investment Advisory Corp.

Opus Financial Solutions LLC

Part 2A of Form ADV: Firm Brochure. April 18, 2016

Wealth Preservation Tax Reduction Strategies. Wealth Transfer. Charitable Giving

E Six Thirteen, LLC d/b/a Dunavant Wealth Strategies

WISLAR WEALTH MANAGEMENT, LLC 10 East Broad Street Hopewell, NJ 08525

Andrew C. Fisher. CIM Investment Management, Inc. Investment Building 239 Fourth Avenue, Suite 1302 Pittsburgh, PA 15222

Northview Asset Management, LLC. Form ADV Part 2B Brochure Supplement. Samuel R. Granett Chief Executive Officer & Chief Investment Officer

MBA, CFP Financial Consultant

Trident Advisors LLC 181 Crossways Park Drive Woodbury, NY 11797

BROCHURE FORM ADV PART 2A

A Registered Investment Adviser Brochure

Firm Brochure (Part 2A of Form ADV)

Item 1: Cover Page LLC. Firm Brochure - Form ADV Part 2A

Horizons Wealth Management FORM ADV PART 2 BROCHURE

Part 2B Supplemental Brochure for

Pillar Wealth Management, LLC. Client Brochure

Optimal Wealth Management, LLC 945 White Road Grove City, OH (614)

Sheila P. Padden, CFP

Taxable Fixed Income Leadership Team Sean T. Rhoderick, Chief Investment Officer and Intermediate Lead Manager

Michael Sedlak, CFP, CFA, CEPA, MBA

DISCLOSURE EXPLANATIONS DOCUMENT UPLOAD

Pillar Wealth Management, LLC. Client Brochure

Investment Advisors. Form ADV Part II. 265 Brookview Centre Way, Suite 504 Knoxville, TN

Transcription:

This brochure supplement provides information about Kevin Ray Connolly that supplements the brochure. You should have received a copy of that brochure. Please contact Kevin Ray Connolly if you did not receive Buffalo First Wealth Management, LLC s brochure or if you have any questions about the contents of this supplement. Additional information about Kevin Ray Connolly is also available on the SEC s website at www.adviserinfo.sec.gov. Form ADV Part 2B Individual Disclosure Brochure For Kevin Ray Connolly Personal CRD Number: 5325347 Investment Adviser Representative 7606 Transit Rd, Suite 100 Williamsville, NY 14221 (716) 861-7371 krconnolly@buffalofirstllc.com UPDATED: 09/03/2014

Item 2: Educational Background and Business Experience Name: Kevin Ray Connolly Born: 1951 Educational Background and Professional Designations: Education: MBA Strategic Management, Medaille College - 2003 BS Business Management, Niagara University - 1973 Business Background: 11/2013 Present CEO/Managing Partner, Investment Adviser Representative Buffalo First Advisory Services, LLC 10/2013 - Present CEO/Managing Partner 04/2007 10 /2013 Investment Adviser Representative Waddell & Reed, Inc. 05/2007 10 / 2013 Insurance Agent Waddell & Reed Insurance Agencies 04/1999 10 /2013 Owner Connolly Association Consulting 06/2006-10/2006 Chief Financial Officer AAA Environmental Inc. 12/2003-03/2006 Director Business Affairs SUNY Canton Item 3: Disciplinary Information

There are no legal or disciplinary events that are material to a client s or prospective client s evaluation of this advisory business. Item 4: Other Business Activities Kevin Connolly is a licensed insurance agent through Buffalo First Advisory Services LLC, of which he owns 50%. From time to time, he will offer clients advice or products from those activities. Clients should be aware that these services pay a commission or other compensation and involve a conflict of interest, as commissionable products conflict with the fiduciary duties of a registered investment adviser. Buffalo First Advisory Services LLC, always acts in the best interest of the client; including the sale of commissionable products to advisory clients. Clients are in no way required to implement the plan through any representative of in such individual s outside capacities. Kevin Connolly is also involved in various charitable and volunteer activities, primarily focusing on the area of health and wellness. Item 5: Additional Compensation Other than salary, annual bonuses, or regular bonuses, Kevin Ray Connolly does not receive any economic benefit from any person, company, or organization, in exchange for providing clients advisory services through. Item 6: Supervision As the CEO/Managing Partner and representative of, Kevin Ray Connolly supervises all activities of the firm. Kevin Ray Connolly's contact information is on the cover page of this disclosure document. Item 7: Requirements For State Registered Advisers This disclosure is required by New York securities authorities and is provided for your use in evaluating this investment advisor representative s suitability.

A. Kevin Ray Connolly has NOT been involved in any of the events listed below. 1. An award or otherwise being found liable in an arbitration claim alleging damages in excess of $2,500, involving any of the following: a) an investment or an investment-related business or activity; b) fraud, false statement(s), or omissions; c) theft, embezzlement, or other wrongful taking of property; d) bribery, forgery, counterfeiting, or extortion; or e) dishonest, unfair, or unethical practices. 2. An award or otherwise being found liable in a civil, self-regulatory organization, or administrative proceeding involving any of the following: a) an investment or an investment-related business or activity; b) fraud, false statement(s), or omissions; c) theft, embezzlement, or other wrongful taking of property; d) bribery, forgery, counterfeiting, or extortion; or e) dishonest, unfair, or unethical practices. B. Kevin Ray Connolly has NOT been the subject of a bankruptcy petition in the past ten years.