Broker Check
David H. Jeffries, RICP®

David H. Jeffries, RICP®

Partner

People often comment that I have a knack for taking a complex financial concept and making it easy to understand. To me, one of my primary responsibilities as a financial planner is to help my clients quantify their goals and then understand all of the options that are available to them as potential solutions. I think a good financial planner should be adept at both listening and teaching.

I’ve always enjoyed the analytical aspects of financial topics and strategies, so it’s not surprising that I ended up majoring in Finance, while receiving my degree from the University of Tennessee in 1984. Like many college graduates looking to enter the work force, I accepted the job that offered a robust compensation package, becoming a claims adjuster with a major property & casualty insurance company. I learned a lot about insurance, management and people in general, but after 15 years I felt a change was in order. I knew that working in the financial world was my true calling, so I made a deliberate choice to change careers and began the task of study and credentialing to become a financial advisor, and I’ve never looked back!

In addition to all of the initial credentialing and continuing education required by the State of Tennessee and FINRA, I have endeavored to continue to broaden my professional education at the highest level. I earned the CERTIFIED FINANCIAL PLANNER™ professional designation in 2010, followed by the Retirement Income Certified Professional® designation in 2015.

I’m very proud of my partnership with Richard and Jacki Imbrey. We make an excellent team, sharing the same level of integrity and zeal for education and client service. We believe that our combined skill sets, experience and work ethic make us a special planning firm with whom to do business. Our clients are the beneficiaries of our team chemistry and experience, and because of this they continue to refer their friends and relatives to us.

FINRA Series 7, 24, 63, 65 Registrations

CA Insurance License # 4159951

Securities offered through Equitable Advisors, LLC (NY, NY (212) 314-4600), member FINRA, SIPC (Equitable Financial Advisors in MI & TN). Investment advisory products and services offered through Equitable Advisors, LLC, an SEC-registered investment advisor. Annuity and insurance products offered through Equitable Network, LLC. Waypoint Financial Partners, LLC is not an investment advisor and is not owned or operated by Equitable Advisors or Equitable Network.

For more information about Equitable Advisors, LLC you may visit https://equitable.com/customer-service/brokerage-and-advisory to review the firm’s Relationship Summary for Retail Investors and General Conflicts of Interest Disclosure.