Home Up Message

Scott E. Bordelon
Andrew Hoffman
William J. Romeo
Marco Gomez-Perez

 

Scott E. Bordelon, CFP®, AAMS

President of F&IMA, Inc.

Mr. Bordelon, Certified Financial PLANNER™ Professional, an Accredited Asset Management Specialist, and the President of Financial & Investment Management Advisors, Inc. He is registered through his firm as an investment advisor with the U.S. Securities and Exchange Commission and has over 26 years of experience.  Scott has been named one of the "100 Great Financial Planners" from across the country by Mutual Funds Magazine in the October, 2001 issue.

Mr. Bordelon specializes in the areas of asset management, financial planning, retirement planning, estate planning, and executive benefit planning as part of his financial planning practice.  Scott is also NASD registered as a General Securities Principal and manages the Covington Branch office of Mutual Service Corporation, an independent financial services broker/dealer.

Mr. Bordelon has published a weekly financial column in the St. Tammany News Banner for over four years. He is listed in the Who's Who in Finance and in the Radio Talk Show Guest Directory - Directory of Experts, Authorities and Spokespersons. He has taught Personal Financial Planning at Delgado Community College in New Orleans, Louisiana.

Mr. Bordelon is Past-President of the Gulf Coast Society of the Institute of Certified Financial Planners (ICFP) and is also Past-President of the Greater New Orleans Chapter of the International Association of Financial Planners (IAFP).

Contact by email: sbordelon@fimadvisors.com

 

Home ] Newsletters ] Client Reports ] News ] Advisor Files ] Services ] Products ] Client Accounts ] Our Advisors ] Our Staff ] Brochures ] Site Links ] Fin. Calculators ]

Send mail to webmaster@fimadvisors.com with questions or comments about this web site.
Regulatory Disclosure Information
Securities offered through Mutual Service Corporation. Mutual Service Corporation and LPL Financial are affiliated companies and are members of FINRA/SIPC. FINRA web site is www.FINRA.orgInvestment Advisory Services offered through Financial & Investment Management Advisors, Inc., an SEC Registered Investment Advisory Firm. Financial & Investment Management Advisors, Inc. is not affiliated with Mutual Service Corporation or LPL Financial.
Certified Financial Planner Board of Standards Inc. owns the certification marks CFP®, and Certified Financial PLANNER™, which it awards to individuals who successfully complete initial and ongoing certification requirements.

Copyright © 2000-2008 Financial & Investment Management Advisors, Inc.
Last modified: May 01, 2008