LICENSES

LICENSES2017-03-27T16:49:09+00:00

Certified Financial Planner Practitioner’s are held to the highest professional standard in the financial services industry. Rigorous testing and continuing education are required of all Certified Financial Planner Practitioners.

Brady Murray is a Registered Principal and Investment Advisor Representative of MML Investors Services, LLC. Licenses currently held include FINRA Series 6, 63, 65, 7 and 24 securities licenses and state Life and Health licenses.

 

Brady Murray, CFP® can neither communicate with nor respond to requests from prospective clients who reside in jurisdictions where he is not licensed to conduct insurance and/or securities business.
Securities licenses in the following jurisdictions: AK, ID, TX, UT
Insurance licenses in the following jurisdictions: AK, AZ, CA Insurance License #0120040, CO, CT, DE, HI, ID, IL, KS, MA, MD, MI, MO, MT, ND, NJ, NM, NV, NY, OK, OR, PA, SC, TN, TX, UT
CRN 201809-205200