Andrew Nocera

  • Financial Advisor
  • Investment Advisor Representative

About Andrew

Before transitioning to Barnum Financial Group, Andrew has accumulated nearly a half-decade of experience in the financial services industry. He started his journey at Webster Bank, before working at Sorrento Pacific Financial LLC. and then New York Life Insurance. He holds the Series 7 and 66 Securities Licenses, as well as being licensed to sell Life, Disability, Long Term Care and Health Insurance.

Andrew is a graduate of Quinnipiac University School of Business earning his bachelor’s degree in Economics. Outside of work, Andrew enjoys being on the golf course and spending time with his girlfriend. As an Investment Advisor Representative, Andrew acts as a resource, guiding his clients in making the right financial decisions for their future. Working collaboratively, he guides them in determining and clarifying their financial goals, establishes their financial position, and identifies areas of opportunity. He helps protect what is important to them with insurance strategies, invest for their future, and offers advice to help them make financial decisions with confidence..

 

I am licensed and registered to offer products and services in RI. Licenses and registrations will vary.
Domiciled in NY. (www.SIPC.org) 6 Corporate Drive, Shelton, CT 06484. (203) 513-6000

Check the background of this investment professional on FINRA’s BrokerCheck