Richard Muncaster
President at Muncaster Financial Group- Claim this Profile
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Bio
Experience
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Muncaster Financial Group
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United States
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Financial Services
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1 - 100 Employee
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President
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Jan 2005 - Present
9 Whitsett Street, Greenville, SC 29601 The Professionals at Muncaster Financial Group offer carefully tailored financial and investment options designed to address your unique and particular situation. Richard Muncaster is the founder of Muncaster Financial Group located in Greenville, S.C. Richard has been in the financial industry for over 21 years and has extensive experience in all areas of financial planning. Because of his intimate knowledge of the markets and access to a wide range of resources, you can put your trust in… Show more The Professionals at Muncaster Financial Group offer carefully tailored financial and investment options designed to address your unique and particular situation. Richard Muncaster is the founder of Muncaster Financial Group located in Greenville, S.C. Richard has been in the financial industry for over 21 years and has extensive experience in all areas of financial planning. Because of his intimate knowledge of the markets and access to a wide range of resources, you can put your trust in Muncaster Financial Group, an independent firm, to deliver experienced financial, investment and insurance services. Investment Advisory Services offered through Investment Advisor Representatives of Cambridge Investment Research Advisors, Inc., a Registered Investment Advisor. Securities offered through Registered Representatives of Cambridge Investment Research, Inc., a Broker/Dealer, Member FINRA/SIPC to residents of AL, FL, GA, IL, NC, SC, TX and WA. Each company is independently responsible for the products and services they provide. Cambridge and Muncaster Financial Group are separate entities. A Broker/Dealer, Registered Investment Advisor, Broker/Dealer Agent, or Investment Advisor Representative may transact business in a state only if first registering appropriately. Follow-up, individualized responses to persons in a state by such a firm or individual that involve either effecting or attempting to effect transactions in securities or the rendering of personalized investment advice for compensation will not be made without first complying with appropriate registration requirements. For information concerning the licensing status or disciplinary history of a Broker/Dealer, Registered Investment Advisor, Broker/Dealer Agent, or Investment Advisor Representative, a customer should contact his or her state securities law administrator. Show less
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Consolidated Planning, Inc.
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United States
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Financial Services
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100 - 200 Employee
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Registered Investment Advisor, Representative
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Jan 1998 - Jan 2005
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John Hancock
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United States
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Financial Services
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700 & Above Employee
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Financial Advisor
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Dec 1995 - Jan 1998
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Education
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Clemson University
Bachelor of Science, Management -
Wilson Hall Academy