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Timothy Scanlan

31 Years of Experience
Waukesha, WI
3 DisclosuresBroker

Timothy Scanlan is a registered investment advisor at Independent Advisor Alliance, LLC, based in Waukesha, WI, with 31 years of industry experience. Timothy operates on a fee-only basis, meaning they do not earn commissions from product sales. Their practice areas include Estate Planning, Financial Planning & Coaching, Insurance Planning, Investment Management, and 2 more. Their firm serves 34,127 clients with $14B in assets under management.

Compensation
Fee-Only (% of Portfolio)Fixed/Hourly
Firm Size
293 advisors
Number of Clients
34,127 clients
Average Client Portfolio
$412K average
Assets Under Management
$14.1B

Fee Structure

IAA offers asset management services where they manage your investments based on your goals, time horizon, and risk tolerance. The annual advisory fee is a maximum of 2.00% of the market value of your account, including cash holdings. This fee may also include financial planning and consulting services. The advisory fee is negotiable. Fees are billed quarterly in advance.

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Location

W248 N5233 Executive Dr., Suite 500, Waukesha, WI, 53089

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History

Regulatory History (3)
What are disclosures? Advisors must report customer complaints, regulatory actions, and certain legal or financial events to the SEC. Not all disclosures are serious—many are settled disputes or minor violations. Learn how to evaluate them.
Employment Separation After Allegations
March 2014
Customer Dispute
July 2010
Denied
Customer Dispute
August 2004
Settled
Other Business Activities

Timothy operates his LPL business under the DBA Forward Financial and provides investment advisory services through Independent Advisor Alliance. These investment-related activities consume nearly all of Timothy's time.

Employment History
Current Registrations
Independent Advisor Alliance, LLC
May 2021 - Present · 5 yrs 2 mos
LPL Financial LLCBroker
May 2021 - Present · 5 yrs 2 mos
Previous Registrations
Wells Fargo Clearing Services, LLCBroker
March 2014 - May 2021 · 7 yrs 2 mos
Wells Fargo Clearing Services, LLC
March 2014 - May 2021 · 7 yrs 2 mos
Cedar Creek Securities, INC.
April 2010 - April 2014 · 4 yrs
Cedar Creek Securities, INC.Broker
April 2010 - April 2014 · 4 yrs
Morgan Stanley Smith Barney LLC
June 2009 - April 2010 · 10 mos
Morgan Stanley Smith BarneyBroker
June 2009 - April 2010 · 10 mos
Citigroup Global Markets INC.
December 2006 - June 2009 · 2 yrs 6 mos
Citigroup Global Markets INC.Broker
December 2006 - June 2009 · 2 yrs 6 mos
Robert W. Baird & CO. IncorporatedBroker
March 1995 - December 2006 · 11 yrs 9 mos
State Registrations17 states
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AdvisorBrokerBoth

You can work with an advisor not registered in your state. Most advisors can legally serve a small number of clients across state lines without registering.

Exams
No exam information available for this advisor.