Leadership and Corporate Governance
Leading differently
They’re the people behind Cetera, but you won’t find them behind closed doors. Meet the team ready to unlock your growth potential and help you bring greater well-being to your clients.
Cetera Leadership
Cetera Holdings
Cetera Holdings
Mike Durbin is chief executive officer of Cetera Holdings, the holding company of Cetera Financial Group, and a member of Cetera’s board of directors. In his role as CEO, he oversees Cetera’s growth initiatives, from expansion into new and adjacent markets to evolving Cetera’s existing capabilities for the financial professionals and financial institutions it serves.
Most recently, Mike was head of Fidelity Institutional, a division of Fidelity Investments offering clearing, custody, investment products, brokerage, and trading services to a wide range of wealth management firms and institutions. In this role, Mike was responsible for supporting the growth of clients’ businesses, enhancing their operational efficiency while delivering insights that help to drive confidence, clarity, and results.
Previously, Mike served as head of Fidelity Institutional Investment and Technology Solutions where he focused on the end-to-end delivery of wealth management products and technology solutions for Fidelity clearing and custody clients. Prior to that role, he served as president of Fidelity Wealth Technologies, where he oversaw Fidelity’s acquisition of eMoney Advisor. He joined Fidelity in February 2009 as president of Fidelity Institutional Wealth Services where he was responsible for the oversight and growth of the business by providing clients access to a flexible, open-technology environment, extensive practice management resources and wealth management investments, and related execution and custody services.
Prior to joining Fidelity, Mike acted as chief operating officer of the National Sales Division for Morgan Stanley’s Global Wealth Management. During his 18-year tenure with Morgan Stanley, he held various leadership positions, including head of Capital Markets, head of International Private Wealth Management and chief strategic and risk officer for the Global Individual Investor Group. Mike joined the firm in 1990, then titled Dean Witter Reynolds, Inc., in the investment banking field. In his initial roles, he was involved with the origination, structuring, and marketing of packaged investments for private client distribution.
Education
- Leonard N. Stern School of Business at New York University, MBA
- University of Notre Dame, BBA, Finance and Economics
Cetera Financial Group
Cetera Financial Group
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Financial services was my first real job, and I fell in love with the profession. Every day is an opportunity to impact people’s lives for the better, and enable our financial professionals to do well by doing good.
Adam Antoniades is chief executive officer of Cetera Financial Group and a member of its board of directors. As CEO, Adam is responsible for driving growth for the organization and its financial professionals.
Adam leads Cetera in its mission to advance the profession of financial guidance through the delivery of an Advice-Centric Experience®. In support of this mission, he drives innovative programs and technologies that enable financial professionals to achieve greater financial well-being for their clients at each life stage.
Adam serves as immediate past chair on the board of the Financial Services Institute (FSI) and is on the organization’s executive committee. He was also recently named a board member of Invest in Others, a charitable foundation that recognizes philanthropic contributions made by individual financial professionals and firms.
Prior to his current role, Adam was president of Cetera from 2014 to 2019. Previously, he co-founded First Allied Securities, (now a part of Cetera) in 1994 and served as its president and CEO for the better part of two decades, driving the firm’s growth strategy organically and through acquisitions. He has also held senior management positions at major financial institutions world-wide, including Berkeley Administration Inc., and A. J. Bekhor and Company.
A native of London, England, Adam resides in San Diego, CA, with his wife, Lisa, and their two children.
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I wanted a career where I could help others pursue greater financial success. Here, I get to do that twice over, helping financial professionals as they turn plans into realities for their clients.
Jeff Buchheister is chief financial officer of Cetera Financial Group, where he serves as a member of Cetera’s executive leadership team. As CFO, he supports the company's growth strategy and vision by developing robust, best-in-class finance functions at the Cetera network level. With more than 22 years of financial services industry experience, Jeff brings to Cetera a broad set of leadership, management, and technical capabilities in the areas of finance, accounting, and operations.
Prior to Cetera, Jeff most recently served as executive vice president and chief accounting officer for LPL Financial, where he provided strategic leadership and oversight for the corporate accounting, tax, and external reporting functions. Prior to that position, during his 13 years at LPL Financial, he held a series of leadership roles at the corporate and business unit levels. He also served as a board member and audit committee chairman for the Private Trust Company, a subsidiary of LPL Financial.
Before joining LPL, Jeff was a senior manager at Deloitte, where he managed audit and audit-related consulting engagements for financial services companies, including E*Trade, American Funds, Pacific Life and TCW.
Jeff received a bachelor’s degree in business economics from the University of California, Riverside. He also successfully completed the leadership development program at Harvard Business School. In 2017, he was a finalist for the LA Business Journal’s CFO of the Year Award. He is a licensed CPA and holds Series 7, 24, 27, and 63 securities registrations.
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I am so proud to be at a firm that values and celebrates our diversity and helps to serve all of our communities.
Lisa Gok is the chief legal officer at Cetera Financial Group, where she serves as executive legal advisor to Cetera, and its board of directors. In this role, Lisa is responsible for ensuring a holistic legal view for Cetera, ensuring best practices while operating as a strong strategic partner for Cetera on a broad range of legal, operational and corporate activities. She leads a team of lawyers and other legal professionals who provide counsel on a wide variety of general corporate matters and manage litigation and regulatory enforcement for the firms.
Prior to joining Cetera in 2012, Lisa held a variety of leadership positions both in and outside of financial services. She spent time with the Justice Department and 15 years with the U.S. Securities and Exchange Commission, at both headquarters in Washington, D.C., and Los Angeles, California. Lisa also served as an assistant United States attorney in the Criminal Division of the U.S. Attorney’s Office in the District of Columbia where Lisa tried more than 20 jury trials and conducted more than 1,000 hearings. Additionally, she served as chief compliance officer at Transamerica Financial Advisors, a broker-dealer and registered investment advisor and was part of the legal team that handled the IPO for Green Dot Corporation [NYSE:GDOT] a financial technology firm and bank holding company.
Lisa is a graduate of Princeton University’s School of Public and International Affairs and earned her J.D. from Columbia University School of Law School. She is admitted to practice law in Washington D.C. and California.
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The constant change is what keeps me interested in financial services and Cetera. There is always a new challenge or opportunity coming down the road.
Tom Gooley is a financial services industry veteran with more than 25 years of experience in managing large, complex organizations through transformational change. As chief operating officer of Cetera, Tom brings together technology, trading, services and operations to deliver a digital experience that drives growth for its network of financial professionals. He creates scale and operating leverage for the organization, while maintaining frictionless and efficient service for financial professionals.
Prior to Cetera, Tom’s most recent role was managing director of service, trading and operations at LPL Financial. Previously, he was senior managing director and chief risk officer for the retirement and individual financial services division at TIAA-CREF. He also worked as managing director and head of operations for the global wealth and asset management divisions of Morgan Stanley where he also co-led the project to convert assets from Smith Barney to the Morgan Stanley platform as part of their merger. Earlier in his career, Tom led equities and futures operations for Bank of America Securities after spending 12 years with Goldman Sachs in a variety of leadership roles in Equities Operations.
He holds a Bachelor of Arts in Political Economies of Industrial Societies from the University of California at Berkeley and a Master of Business Administration from The Wharton School at the University of Pennsylvania. He is a graduate and Trustee of the Securities Industry Institute (SIFMA) Wharton Program, a member of the AIESEC United States Board of Directors and Chair of the Finance Sub Committee and is also an Advisor to the University of California, Berkeley Political Economies department. He holds his FINRA Series 7 and 27 securities registrations.
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Cetera is constantly thinking about the next way to expand our value while creating great experiences for our people, our financial professionals, and their clients. It’s what makes Cetera such a special place.
Jenifer Kerr is the chief human resources officer for Cetera Financial Group. She works closely with leaders throughout the organization to increase employee engagement and satisfaction while expanding their ability to deliver outstanding service and support to Cetera’s affiliated financial professionals. Jenifer also oversees strategies to drive talent acquisition and development, refine career pathing against organizational priorities, and help create a more diverse, effective, and inclusive culture.
Jenifer returned to Cetera after spending several years serving as an HR leader for various technical and sales teams at Amazon. Prior to those roles, she was the director of diversity at Lenovo and held a variety of HR positions at Dell. She also has extensive experience working in nonprofits and serving as a consultant. Jenifer is passionate about aligning the business and people agenda while creating a workplace that allows employees to thrive. She received a Bachelor of Arts in History from the University of Redlands, and lives in San Diego with her family.
Cetera Solutions
Cetera Solutions
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It’s incredibly fulfilling being part of an industry that has a profound impact on people’s lives every day. Helping financial professionals and their clients live their best lives is rewarding.
Todd Mackay is president of Cetera Solutions, driving end-to-end platform strategy and leading advice delivery across the organization. He steers Cetera’s growth across various business lines with oversight for all digital products and investment products and services for financial professionals and end-clients. Todd also serves as a member of Cetera’s executive leadership team.
Prior to his current role, Todd was president of Avantax, having been with the organization since it started its wealth management journey. He was the key architect of the acquisition of HD Vest, a business he subsequently led, and directed the strategy and execution of the acquisitions of 1st Global and HK Financial Services (now Avantax Planning Partners℠) to create one of the largest wealth management firms focused on tax professionals and their wealth management practices.
Todd has spent his entire career focusing on growing businesses within the wealth management and financial technology industries. Prior to Avantax, he led and founded several emerging financial services businesses. He served as a long-term executive for E*TRADE Financial, and during his tenure drove the company’s Asian Broker Dealer businesses, which included India’s second-largest independent broker dealer. Additionally, he led the company’s RIA business focused on acquiring and growing independent RIAs across the country. He has held other leadership roles throughout his career, including corporate treasurer, EVP of Corporate Strategy and Development and Investor Relations, and has served on both private and public company boards within the wealth management, broker-dealer, and financial technology industries.
Todd received an A.B. from Princeton University in economics with an emphasis in mathematics.
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We are not a one-size-fits-all firm when it comes to how advisors affiliate, which makes Cetera the best place to work as it allows us to find new ways to get things done.
Joe Neary is chief risk officer for Cetera Financial Group. In this role, Joe is responsible for ensuring a holistic risk picture across the firms in the Cetera Financial Group network. He leads a team of compliance and risk management professionals who provide advice and guidance regarding regulatory matters and other risk issues impacting the firms and its registered broker-dealers and investment advisory firms.
Prior to joining Cetera, Joe was the CCO of Park Avenue Securities, the Investment Advisory CCO and the Royal Alliance CCO for AIG Advisor Group. He has also been a compliance officer for AIG SunAmerica Asset Management and served as the CCO for AIG Capital Services, the principal underwriter for SunAmerica Products. Joe started his career in financial services in 1997 as a compliance officer and counsel at Prudential Financial and Marsh & McLennan, where his responsibilities included focusing on the oversight of wholesaling broker-dealer activities, product manufacturing, capital raising, and retirement services. Joe also has experience managing the risk oversight with regards to the distribution of direct investments and investment banking.
Joe earned his L.L.M. in international business transactions from McGeorge School of Law and his J.D. from Widener University Law School. He holds FINRA Series 7, 24, 53 and 66 securities registrations. He is licensed to practice law in New York and New Jersey.
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Every time I hear our financial professionals talk about the life events they attend of their clients—weddings, baptisms, retirements—it makes me so proud of the work they do.
Tom Taylor currently serves as the chief of sales and growth officer for Cetera Financial Group and CEO for Cetera Advisor Networks focusing on all aspects of the business.
Prior to these roles, he served as both president and chief operating officer of Cetera Advisor Networks where he leveraged his experience in sales, operations, compliance and marketing to lead the firm’s initiatives in technology and operations. He was also responsible for leading the FID Operations department, Electronic Order Entry department and Resource Center to support and serve financial professionals and independent offices nationwide.
Tom has over 30 years’ experience in the financial services industry. Previously, he spent five years as a top-producing broker at Liberty Securities Corp./IFMG before being promoted to sales manager. He also ran an investment program and managed 10 brokers for a $4 billion financial institution in southern California.
He joined Financial Network in 1997 and has been instrumental in developing many of the new operational, technological and sales initiatives for the company. Previous assignments include due diligence coordinator, vice president of sales and training, vice president of the Financial Institutions Division, and chief administrative officer before taking the role of chief operating officer.
Tom received a Bachelor of Science degree in business administration, with an emphasis in finance and investments, from California State University, Long Beach. He is also a Certified Financial Planner® (CFP®).
As chief marketing and communications officer of Cetera, Michael Zuna is responsible for all marketing and business development for Cetera Financial Group, including all branding, internal and external communications, demand generation, public relations, advertising and event marketing. He also oversees other key communications initiatives geared at driving brand leadership for Cetera that directly support the company's broader vision of an Advice-Centric Experience™ model for the industry's future. Additionally, he partners closely with the entire Cetera leadership team to help revolutionize the company's business development function, spearheading a closer integration of marketing, performance marketing and advisor recruiting efforts. In this role, he will directly oversee the traditional channel recruiting function.
Prior to joining Cetera, Michael served as senior vice president, chief marketing & digital officer of Petco Animal Supplies, where he had oversight of all marketing, e-commerce and brand-building activities for the company. Before joining Petco, he served as senior vice president and chief marketing officer of Aflac, Inc., where he was responsible for brand-building activities across a comprehensive spectrum of marketing and advertising channels, including all marketing of the Aflac Duck. Michael was also responsible for the creation of Aflac's trailblazing One Day Pay initiative. He has more than fifteen years of financial services marketing experience on behalf of leading companies such as ING Direct, Ameriprise Financial, and USAA.
Michael graduated cum laude with a Bachelor of Science from the United States Naval Academy. He has earned numerous professional recognitions in his career, including being named multiple times to the "Top 50 Most Influential CMOs" list by Forbes magazine.
Community Leadership
Cetera Advisors
Cetera Advisors
Tom Halloran is president and CEO of Cetera Advisors and president of Cetera Wealth Partners, responsible for the overall growth, strategy, and management of both communities.
An industry veteran, Tom has over 36 years of experience working with financial advisors in various product, marketing, and sales leadership roles. Previously, he served as the president of Voya Financial Advisors, Inc., and held positions on the board of directors of Voya Financial Partners, LLC, Voya Financial Advisors, Inc., and Voya Insurance Solutions, Inc. Tom also served as a managing director at Bank of America Merrill Lynch, where he developed advisory solutions for the mass-affluent customer segment. Prior to that, he served in positions of increasing responsibility at Putnam Investments.
Tom earned a B.S. in business administration from Worcester State University and an M.B.A. from Boston University. He has served on the board of directors for Junior Achievement (JA) of Northern New England, the Invest in Others charitable foundation, and the Worcester State Foundation. Tom holds FINRA Series 6, 7, 24, 26, 51, 63, and 65 securities registrations.
Cetera Financial Specialists
Cetera Financial Specialists
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I started investing in college and was fascinated with it. But once I was able to help other people pursue their dreams, I knew I found my profession.
Ron Krueger is president of Cetera Financial Specialists, a broker-dealer within Cetera Financial Group. He and his team are responsible for leading the firm's financial and tax professionals to build great businesses and achieve growth goals through best-in class service, alignment with leading technology and specialty-focused resources within Cetera.
For over 20 years, Ron has been passionate about educating, servicing, and making business easy to do for financial professionals and creating a "red carpet" client experience with each interaction. Creating this experience drives the team's passion to provide superior support and service that's hands-on and high touch in an enviroment that promotes a family culture and direct access to senior leaders.
Prior to his current role, Ron has held a variety of leadership and business development positions within Cetera and its predecessor companies. Before joining Cetera, his experience included working as an investment professoinal at Prudential Securities. He achieved both his Certified Financial Planner® and Chartered Financial Analyst® designations in 2002.
Ron earned a Bachelor of Business Administration degree from the University of Texas in Austin. He is an active member of the CFA Institute and The Financial Planning Association and is a former board member of the Tampa Bay Financial Analyst Society. He is licensed as a financial professional with Cetera Financial Specialists and holds Series 7, 24, 63 and 65 securities registrations. He also holds an insurance license.
He resides in Tampa with his wife Minerva, two daughters, and adopted pets. They enjoy sports, travel, and outdoor activities.
Cetera Investment Services
Cetera Investment Services
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After more than 30 years at Cetera, I am still excited to sit alongside our partner institutions and branches and discuss the unique ways we can help build on their vision to serve local communities.
LeAnn Rummel joined Cetera Investment Services in 1992 and serves as president and CEO, where she focuses on all aspects of the business. Additionally, she leads the firm’s executive committee and acts as president of Cetera’s insurance agencies.
LeAnn currently serves as a Bank Insurance Securities Association (BISA) board member. In 2014, she was inducted into BISA’s Circle of Excellence, which honors outstanding professionals in the industry. She is the executive sponsor for the CFG advisor-led Diversity & Inclusion Council.
Prior to Cetera, she served on PrimeVest’s executive committee and within the ING Advisors Network marketing team as vice president - financial institution channel and product marketing. Before that, she served as vice president of product sales and marketing for PrimeVest, managing the firm’s creative services team as well as the cash management, life insurance, retirement planning, financial planning and investment advisory departments.
LeAnn’s tenure in the financial services industry spans more than 30 years. She is qualified as a general securities representative (Series 7), as a general securities principal (Series 24) and as a uniform securities agent (Series 63). She also possesses her insurance licenses. LeAnn received a Bachelor of Science degree in Business Administration with a marketing emphasis from Iowa State University.
Cetera Advisor Networks
Cetera Advisor Networks
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Cetera is the most dynamic and nimble organization I’ve ever had the pleasure of working at during my career, which makes it an incredibly special place in our profession.
Tim Stinson is president of Cetera Advisor Networks. In this role, he is responsible for all aspects of the Cetera Advisor Networks community, including growth, technology, sales support and operations. He also leads the Cetera Advisor Networks Executive Management Committee.
Tim has 30 years of experience in the financial services industry rooted in customer engagement, consulting, product and distribution. Previously, he was head of Wealth Management and Recruiting Sales and the executive leader responsible for the overall strategy and growth of wealth management and business development across Cetera Financial Group. In this role, he focused on igniting asset growth and leading teams dedicated to the delivery of an Advice-Centric Experience® designed to guide more clients to reaching financial well-being throughout all stages of life.
Prior to joining Cetera, Tim was senior vice president of business development in the Southwestern U.S. for the institutional platform at Northern Trust. Before Northern Trust, he a was senior vice president at Fidelity Investments, where he was responsible for managing the Southwestern Institutional Wealth Services organization, working with independent RIAs. He also served in senior leadership roles at firms such as Fortigent and SEI.
Tim serves on the Financial Services Institute’s board of directors and is a founding member of Cetera’s Diversity, Equity, Inclusion and Belonging Council. He earned a Bachelor of Science degree in marketing from Saint Joseph’s University and has been a member of the University of Pennsylvania’s Wharton Business School Executive Management Program, where he studied new leadership paradigms. He holds the Accredited Investment Fiduciary (AIF) designation and Series 7 and 24 securities registrations.
Avantax Wealth Management
Avantax Wealth Management
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I'm inspired by our advisors commitment to offering holistic, tax-intelligent planning to their clients, boldly enhancing how Americans pursue greater financial well-being.
Andy Watts is president of Avantax Wealth Management. During his 20 years with the company, he has held several strategic, operational and senior leadership positions. Most recently, he served as VP, Planning and Growth Solutions where he led a team focused on curating solutions that financial professionals can use to help clients pursue their goals. Prior to that role, Andy led corporate development, where he was responsible for diligence and post-acquisition strategic integration activities and driving inorganic growth across the company’s operating entities. His other Avantax leadership positions include senior director of strategic growth initiatives and director of wealth management. He is passionate about leveraging data to intelligently understand client needs and enable financial professionals to deliver solutions efficiently and effectively.
Andy earned his bachelor’s degree at Texas A&M University’s Mays Business School, and he is a CERTIFIED FINANCIAL PLANNER™ professional. He also holds Series 7, 24, and 66 securities registrations.
About Avantax
Avantax, Inc. (Avantax) is a wholly owned subsidiary of Aretec Group, Inc. (dba Cetera Holdings). Avantax is a unique community within Cetera Holdings. Avantax Investment Services, Inc., a subsidiary of Avantax, Member FINRA / SIPC. Located at 3200 Olympus Blvd, Suite 100, Dallas, TX, 75019. Avantax and Cetera Financial Group are under common ownership.
Strength. Stability. Partnership.
Cetera is owned by Genstar Capital, one of the world’s top-performing private equity firms, listed No. 6 on the 2021 HEC-DowJones Private Equity Performance Ranking. Genstar has a 35-year track record of helping strong companies create lasting value and impact through growth and scale—making them the perfect partner for us.
Board of Directors
Ben Brigeman serves as chairman of the Cetera board and as a member of Genstar Capital's Strategic Advisory Board, and advises the firm in the financial services sector. He served as Cetera’s interim CEO from March 2019 to December 2019.
Prior to Cetera, Ben was executive vice president for Charles Schwab & Co., Inc., where he served as the head of the individual investor (retail) business of Schwab responsible for its worldwide branch network, call centers, new client operations, regulatory compliance, product development, project management and wealth services. He was a key member of Schwab’s executive committee setting strategy for the company. Prior to joining Schwab in 1996, Ben was a senior vice president at Key Bank, managing Key’s Retirement Services division.
Ben is a member of the board of directors for Ascensus, Apex Group, and Institutional Shareholder Services (“ISS”). He and his wife Vicki are lifelong residents in the Cleveland, Ohio, area.
He holds both a BS and an MBA from the University of Akron.
Adam Antoniades is chief executive officer of Cetera Financial Group and a member of its board of directors. As CEO, Adam is responsible for driving growth for the organization and its financial professionals.
Adam leads Cetera in its mission to advance the profession of financial guidance through the delivery of an Advice-Centric Experience®. In support of this mission, he drives innovative programs and technologies that enable financial professionals to achieve greater financial well-being for their clients at each life stage.
Adam serves as immediate past chair on the board of the Financial Services Institute (FSI) and is on the organization’s executive committee. He was also recently named a board member of Invest in Others, a charitable foundation that recognizes philanthropic contributions made by individual financial professionals and firms.
Prior to his current role, Adam was president of Cetera from 2014 to 2019. Previously, he co-founded First Allied Securities, (now a part of Cetera) in 1994 and served as its president and CEO for the better part of two decades, driving the firm’s growth strategy organically and through acquisitions. He has also held senior management positions at major financial institutions world-wide, including Berkeley Administration Inc., and A. J. Bekhor and Company.
A native of London, England, Adam resides in San Diego, CA, with his wife, Lisa, and their two children.
Mike Durbin is chief executive officer of Cetera Holdings, the holding company of Cetera Financial Group, and a member of Cetera’s board of directors. In his role as CEO, he oversees Cetera’s growth initiatives, from expansion into new and adjacent markets to evolving Cetera’s existing capabilities for the financial professionals and financial institutions it serves.
Most recently, Mike was head of Fidelity Institutional, a division of Fidelity Investments offering clearing, custody, investment products, brokerage, and trading services to a wide range of wealth management firms and institutions. In this role, Mike was responsible for supporting the growth of clients’ businesses, enhancing their operational efficiency while delivering insights that help to drive confidence, clarity, and results.
Previously, Mike served as head of Fidelity Institutional Investment and Technology Solutions where he focused on the end-to-end delivery of wealth management products and technology solutions for Fidelity clearing and custody clients. Prior to that role, he served as president of Fidelity Wealth Technologies, where he oversaw Fidelity’s acquisition of eMoney Advisor. He joined Fidelity in February 2009 as president of Fidelity Institutional Wealth Services where he was responsible for the oversight and growth of the business by providing clients access to a flexible, open-technology environment, extensive practice management resources and wealth management investments, and related execution and custody services.
Prior to joining Fidelity, Mike acted as chief operating officer of the National Sales Division for Morgan Stanley’s Global Wealth Management. During his 18-year tenure with Morgan Stanley, he held various leadership positions, including head of Capital Markets, head of International Private Wealth Management and chief strategic and risk officer for the Global Individual Investor Group. Mike joined the firm in 1990, then titled Dean Witter Reynolds, Inc., in the investment banking field. In his initial roles, he was involved with the origination, structuring, and marketing of packaged investments for private client distribution.
Education
- Leonard N. Stern School of Business at New York University, MBA
- University of Notre Dame, BBA, Finance and Economics
Lori Hardwick brings more than 30 years of experience of working in the financial industry as a prominent voice and is known for her intense passion for continuous improvement in the financial advisory industry. Lori has consulting and operating expertise in investment, technology, distribution, and advisory solutions and is a regular speaker at industry events and frequently featured on leadership and fintech podcasts.
Lori was appointed to Genstar Capital’s Strategic Advisory Board in 2020 and at the same time, appointed as a board director for one of their portfolio companies in the financial services sector; Cetera Financial Group and in October 2020, she was appointed to the Orion/Brinker board of directors. In 2019, Lori was appointed to an independent board seat at Vestwell, LLC for which she currently serves as Chairman. Lori also served as a board director for Riskalyze, beginning in 2018 and served as Chairman of that firm from 2019 to mid-2021 when the company was acquired by Hg Partners, a P/E company based in London.
In 2017, Lori created and co-founded a new fintech company, Advisor Innovation Labs (AI Labs). At AI Labs, she served on the board of directors, and was focused on building sophisticated and intuitive ‘systems of engagement’ between advisors and their clients with a digital interface. AI Labs underwent a successful acquisition in March 2020.
Prior to founding AI Labs, Lori served as Chief Operating Officer for Pershing, a BNY Mellon company, sharing leadership responsibility with the CEO for managing the Pershing family of companies. Lori served as a member of Pershing’s Executive Committee and BNY Mellon’s Senior Leadership Team.
Previously, Lori was Co-Founder and Group President of Advisory Services for Envestnet, overseeing all of its enterprise relationship management, institutional advisory sales, strategic partnerships and practice management programs. She had been with Envestnet since its founding in 2000 and served in a variety of roles managing its enterprise, sales, services, advisor orientation and onboarding divisions during her 16-year tenure at the firm. She helped Envestnet prepare and launch a successful IPO in July 2010 (NYSE: ENV).
Most recently, Lori was named as one of the “22 People who will Transform Wealth Management in 2022” by Financial-Planning.com and also recognized as one of the 2020 Top Women of Wealth Tech by ThinkAdvisor. She was also profiled as a “Winner in Wealthtech” in 2018 by Wealth Management Today. In 2017, Lori was named to the “Women to Watch” list by InvestmentNews and also, in 2016, was on Investment Advisor’s list of “The 25 Most Influential People in the Financial Industry”. Lori was also named one of the “50 Most Influential Women in Private Wealth” by Private Asset Management magazine in 2015.
She also serves her community by working on Ben Franklin’s Executive Review Committee where she helps advise Ben Franklin review and assess viability of local start-up firms for investment, with an emphasis on those that will create jobs and economic growth for the City of Philadelphia.
Lori graduated from The Ohio State University with a Bachelor of Arts. She is also a graduate of the University of Chicago Booth Advanced Management Executive Program, an elite category of year-long masters of business educational programs designed for senior executives.
Education
- University of Chicago Booth, Executive MBA Program
- The Ohio State University, BA
Marten brings over 30 years of leadership experience in the wealth management industry to Cetera’s Board of Directors, where he is instrumental in guiding Cetera’s organic growth strategies through recruitment, retention, and asset growth.
He has held numerous leadership roles at UBS and its predecessor firm PaineWebber, most recently as CEO of UBS Wealth Management Americas, serving on the UBS Group Executive Board. Prior to those roles, Marten served as deputy CEO of Global Wealth Management. In Zurich, Switzerland, he led Market Strategy and Development for the division, which included Global Wealth Management and Swiss Retail Banking, with responsibility for strategy, M&A, marketing, advisor- and client-facing technology, and developing advisory and sales management capabilities. His career in wealth management and 26-year tenure at UBS and PaineWebber began shortly after college when he became an advisor trainee at PaineWebber.
Marten has served as director of the Securities Industry and Financial Markets Association (SIFMA). He currently serves on various nonprofit boards and is involved with several fintech companies.
Education
- University of North Dakota, BA, Political Science
- Kellogg School of Management, Northwestern University, MBA
Gary Michel is a member of Genstar’s Strategic Advisory Board and is working with portfolio companies to improve financial leadership and operational performance.
Prior to joining the Strategic Advisory Board, Michel was an operating partner at Providence Equity Partners. He was previously the chief financial officer of TravelClick, a former Genstar Portfolio Company. He oversaw the global financial and legal operations, and served as a key member of the senior leadership team in developing growth strategies and leading the exit process. Before joining TravelClick, Gary was CFO of Register.com, a provider of web services to small and medium-sized businesses. Register.com was sold to Web.com and Gary left after leading the successful integration of the two companies.
Gary’s extensive financial background includes 10 years at Dun and Bradstreet (D&B), where he specialized in growth strategies and global business integration. At D&B he was both the International and Americas chief financial officer, focusing on improving performance and profitability. He also served as head of corporate strategy and M&A. His career also includes leadership roles with The McGraw-Hill Companies and PricewaterhouseCoopers.
He is actively involved with the University of Delaware as part of the Executive Mentors Scholars Program, The Lerner College Leadership Council and the University’s Venture Development Center.
Education
- University of Delaware, Alfred Lerner College of Business and Economics, BS, Accounting
Sid Ramakrishnan joined Genstar Capital in 2012 and is currently a director of the firm responsible for evaluating and executing investments across various sectors. Previously, he was chief of staff to the CEO at AssetMark (a former Genstar portfolio company) and led corporate strategy for the company. Sid began his career in the investment banking division at Morgan Stanley.
Education
- University of Southern California, BS, Business Administration
Tony Salewski is a managing director with Genstar Capital, helping to identify, evaluate and execute acquisition and investment opportunities.
Prior to joining Genstar Capital in 2007, Tony was the chief of staff at Barclays Global Investors (BGI), where he executed strategic initiatives for the executive committee. Prior to BGI, he was an associate at Hellman & Friedman LLC, a private equity investment firm in San Francisco. He began his career in the investment banking division of Morgan Stanley in New York.
Education
- Harvard Business School, MBA, with distinction
- Harvard College, with honors