Leadership, Commitment & Experience

Three FINRA Series 24 General Securities Principals*, who have combined forces to successfully supervise your business, lead Independent Advisor Group. Together with our entire branch office team, we are committed to growing and increasing the value of your practice.  

*Securities registrations are held through LPL Financial.

Kevin Supka
LPL Branch Office Manager
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Kevin has been with LPL since 1993 and has been in the financial services industry since 1986. In addition to his Branch Office Manager responsibilities, Kevin maintains a highly successful book of business. Kevin’s career has included experience with several financial institution programs, a niche that has allowed the OSJ to forge relationships with many banks and credit unions over the years.

 

Kevin Supka
LPL Branch Office Manager

Michael Brady
LPL Registered Principal
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Michael has spent his entire financial services career with LPL Financial beginning in 2001. Aside from managing a large, successful book of business, Michael assists the OSJ by offering ongoing sales and marketing advice to the rest of the group. Michael serves as a board member for several nonprofits in his community.

Michael Brady
LPL Registered Principal

Len Borcky
Branch Chief Compliance Officer

LPL Registered Principal
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Len joined LPL in 2008 following an 11-year career as a Compliance and Operations professional with Prudential Financial. Len is a non-producing Compliance Officer who works with the entire OSJ team to achieve operational efficiency and strict adherence to all FINRA, SEC, and LPL compliance regulations.

Len Borcky
Branch Chief Compliance Officer
LPL Registered Principal