The Cetera Financial Group's Circle of Excellence recognition was awarded to Thomas H. Ela and Ryan J. Marshall]; it is not a guarantee of future investment success and should not be construed as an endorsement of by any client.
For Existing clients
Schedule time with your financial advisor to discuss your current portfolio. This can also be a designated meeting to work together, updating your financial roadmap with any new life events or goals that require attention. New job? New baby? Relative passed away? Buying or selling a home? It is very important to us that we keep in touch and stay up-to-date on life's ebb and flow.
Our first priority is helping you take care of yourself and your family. We want to learn more about your personal situation, identify your dreams and goals, and understand your tolerance for risk. Long-term relationships that encourage open and honest communication have been the cornerstone of our success.
Schedule your review or Complimentary Consultation with Tom
Schedule your review or Complimentary Consultation with Ryan
Contact Trish at our office for your Estate Planning Needs
Our team of professionals have years of of experience in financial services. We can help you address your needs of today and for many years to come. We look forward to working with you.
Our passion is listening to our clients to determine their goals and aspirations, financial and personal, and guiding them with the tools and advice to work toward those goals through all stages of their lives. Each member of our team is committed to providing the highest level of care and customer service. We are humbled to be invited into our client’s lives.
Thomas Ela, Ryan Marshall and Patricia Ela, the partners of Ela Financial Group, Inc. provide services to our clients that are held to a Fiduciary Standard, which always puts the client’s best interest first.
As a Fiduciary, we are required to act with unequivocal loyalty to our clients by being transparent about services, compensation and potential conflicts of interest.
As an Investment Advisor Representative, (IAR), we are held to the Fiduciary Standard by federal law. As such, we are legally bound to act exclusively in our client’s best interest in every aspect of our business, from our service, to investment philosophy to compensation.
We participate in additional continuing education to assure that our duty as a fiduciary is understood and implemented in all we do.