| Progressive Financial Planning
Services is proud to be affiliated with or members of the following prestigious
organizations. To visit their sites, please choose the links below. The Financial Planning
Association
Jefferson Pilot Securities
Corporation
FINRA
SIPC
Click
Here to view the Registered Investment
Advisor Form ADV
Click
Here to view the Registered
Investment Advisor Form ADV Part II Sched
F
Regulatory Disclosure:
Progressive Financial
Planning Services, Inc. is a New York Registered
Investment Advisory firm. A full New York
ADV is available upon request. We do not render
or offer to render personalized investment advice
or financial planning advice through this medium.
This medium is limited to providing you with
general information on our services and provides
a way for you to contact us.
Other Disclosures:
The information in this
web-site is based on data gathered from what we
believe are reliable sources. It is not
guaranteed as to accuracy, and does not purport
to be complete and is not intended as the primary
basis for investment decisions. It should also
not be construed as advice meeting the particular
investment needs of any investor.
As Branch Manager and Registered Representative Michael Godfrey
and Michelle Bulmer, respectively, are affiliated with Jefferson
Pilot Securities Corporation. Jefferson Pilot Securities
Corporation is one of the country's oldest insurance company-affiliated
brokerage firms, members of the National Association of
Securities Dealers, the Boston Stock Exchange and the Securities
Investors Protection Company and a wholly owned subsidiary
of Jefferson Pilot Corporation.
Michelle E. Bulmer and Michael Godfrey are securities licensed
in the states of Arizona, California, Connecticut, Florida,
Georgia, Maryland, Nevada, New Jersey, New York, North Carolina,
Pennsylvania, South Carolina, Texas, and Washington.
Privacy Policy
At Progressive Financial Planning Services, Inc. we are committed to
safeguarding the confidential information of our clients. We hold all
personal information provided by you to our firm in the strictest of
confidence.
These records include all personal information that we collect from you
in connection with any of the services provided by Progressive Financial
Planning Services, Inc. We have never disclosed information to
nonaffiliated third parties and do not anticipate doing so in the
future. If we were to anticipate such a change to our policy, we would
be prohibited by law to do so without first advising you.
As you know, we use health and financial information that you provide us
to help you meet your personal financial goals. However, we do
everything possible to guard you from any real or perceived
infringements of your rights of privacy. Our policy with respect to
personal information about you is as follows:
- The categories of nonpublic information we collect from our clients
depends upon the scope of our relationship. It will include information
about your personal finances, information about your health to the
extent that it is needed for the planning process, information
concerning transactions between you and third parties, and information
from consumer reporting agencies.
- We limit access to information to only those employees and agents who
have business or professional reasons to see it. The only nonaffiliated
parties permitted access are those allowed by law and need the
information to effect, administer, or enforce a transaction that you
request or authorize. This may include allowing limited access to a
brokerage firm so that it might execute securities transactions on your
behalf, or so that our firm can discuss your financial situation with
your accountant or lawyer.
- We also require strict confidentiality from any unaffiliated third
parties that require access to your personal information. Examples of
such third parties include financial services companies, consultants,
auditors, Federal and state regulators. Again, anyone we permit access
will be allowed by law, and will have a legitimate business or
professional reason to do so.
- Personally identifiable information about you will be maintained
during the time you are a client, and for the required time thereafter
that such records are required to be maintained by federal and state
securities laws, and consistent with the CFP Board Code of Ethics and
Professional Responsibilities. After this required period of record
retention, all such information will be destroyed.
- We maintain a secure office and computer environment to ensure that
your information is not placed at unreasonable risk. In addition, all
paperwork is cross-shredded to ensure your confidentiality.
- We do not provide your personal information to mailing list vendors
or solicitors for any purpose.
|