My career began in 1987, offering Banks and Credit Unions a toll-free hotline to the National CD Market. By 1992 I received my Series 63,7 and 24 FINRA licenses. In 1994 I was promoted to Vice President of Sales of Pioneer Services Inc. and I was responsible for overlooking a floor of licensed FINRA Representatives. In December 1997, my partners and I launched ABG Services Inc where I serve as the company’s Secretary Treasurer and Head of Compliance.