Craig M. Klaas
    President
    Registered Investment Advisor Associate

    Craig Klaas

    Integrity and Service
    "Our clients have confidence in us with respect to their financial futures. It's a responsibility we take very seriously."

    A founding principal at Klaas Financial, Craig has worked in the financial services industry since 1976. A University of Illinois graduate with a bachelor's degree in finance, he is also Series 7 and Series 24 Securities qualified.

    Steven L. Schou, CFP®
    CERTIFIED FINANCIAL PLANNER
    CEO / CFO
    Steven Schou
    Commitment to Excellence
    "Our team approach provides years of experience, knowledge and integrity to help guide you through the maze of financial vehicles."

    Chief Executive Officer, Chief Financial Officer, and a partner of Klaas Financial, Steve has worked in the financial services industry since 1979. He has been a Certified Financial Planner™ practitioner since 1994 and is Series 7 Securities qualified. Steve is also the senior investment advisor associate at Klaas Financial with a focus on IRA rollovers and income strategies.

    Scott A. Johnson, CFP®
    CERTIFIED FINANCIAL PLANNER
    Scott A. Johnson
    Client Goals
    "Helping clients address their goals is a number one priority."

    Scott joined Klaas Financial in 1996 following his graduation from Wheaton College with a bachelors' degree in business and economics. He earned the designation of Certified Financial Planner™ practitioner in 1999, demonstrating his experience in the areas of taxes, employee benefits, retirement planning, estate planning, and insurance and investment services.

    Gary Love CFP®
    CERTIFIED FINANCIAL PLANNER™
    Gary Love
    Solutions
    "We stand in our clients' shoes and bring our experience to provide unique solutions to our clients."

    Gary joined Klaas Financial in 1997. Gary received a Bachelor of Science degree in Accounting from Bob Jones University in 1991. He has earned the designation of Certified Financial Planner™ practitioner and is Series 7, 63, and 66 Securities qualified.

    Mike Todryk RFC
    Registered Financial Consultant


    Care
    "My number one objective is to help people address their retirement goals."

    Mike Todryk, RFC, joined Klaas in 2008. He earned the RFC designation of Registered Financial Consultant in 2004 and has over 30 years experience in Estate Planning, Retirement Planning, and helping people with their 401K and 403b plans.

    Maleeah L. Cuevas
    Registered Investment Advisor Associate

    Vision
    "By interacting with our clients on a personal level, we are able to correctly plan for their vision of retirement."

    Maleeah joined Klaas Financial in 2006. She holds a Masters Degree from the Monterey Institute of International Studies in International Business Management and Public Administration. She also is Series 6, 7, 63, and 65 Securities qualified, and holds life and health insurance licenses.

    Craig J. Klaas
    Registered Investment Advisor Associate

    Values
    "We make it one of our highest priorities to maintain personal client relationships that are founded upon honesty, integrity  and loyalty."

    Craig J. Klaas joined Klaas Financial in February of 2007. Craig J. is the son of President, Craig M. Klaas, and has had much exposure to the financial services industry. A University of Washington graduate with a bachelor's degree in economics, Craig is series 7 and 66 Securities qualified, and holds life and health insurance licenses.

    Steve Anderson
    Marketing Director
    Account Investment Executive
    Steve Anderson
    Seminars
    "An additional service that we provide  for Corporations is facilitating educational seminars, as well as addressing the financial needs of individual clients."

    Steve attended North Park College in Chicago, as well as Rock Valley College in Rockford, and is Series 6 and 63 Securities qualified. He comes to Klaas Financial with over 20 years of sales and marketing experience.

 

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Individuals associated with Klaas Financial Services are securities licensed through Investacorp, Inc., a registered broker dealer, member FINRA, SIPC. One or more associates are securities licensed in the following states: AK, AL, AR, AZ, CA, CO, DE, FL, GA, IA, IL, IN, KY, MI, MN, MO, NC, NH, NV, NY, OH, OK, OR, PA, TN, TX, UT, WA, WI. For those persons inquiring from states where a specific associate is not currently securities and/or insurance licensed, the associate will not transact business in that state or provide followup, individual responses, until after the associate obtains the appropriate registration in the applicable state. FINRA's homepage, www.finra.org and Securities Investor Protection Corporation's homepage, www.sipc.org

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