John P. McCroryRegistered Representative
Phone: 480-659-3850x4 John P. McCrory has extensive background with retirement plans and investments. He joined Securus Financial Group, LLC in January 2010 to focus on developing the firm's relationships with corporate and not-for-profit employers. With his experience in implementing and managing retirement plans for several large national providers, John is uniquely qualified to help organizations develop specialized retirement programs to meet both the needs of the employer and the employees.
John began his financial services career in 1981 working with individuals to plan for their financial security and later began working with businesses and not-for-profit organizations to develop retirement plans for their employees. Prior to joining Securus Financial Group, John worked for a Fortune 500 Corporation in various positions with increasing responsibilities and relocated a number of times during his tenure to better serve his clients. Prior to ending his tenure with this Corporation, John was National Sales Manager for the investment management division with the responsibility of working with plan sponsors, and then was appointed Director and Chief of Distribution Officer.
With his wealth of knowledge and experience, John brings an unwavering committment to providing innovative retirement plan solutions to the marketplace. ![]()
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8080 E. Gelding Drive Suite 105 Phone: (480) 659-3850 |

All information herein has been prepared solely for informational purposes, and it is not an offer to buy or sell, or a solicitation of an offer to buy or sell any security or instrument or to participate in any particular trading strategy.
Securities and investment advisory services offered through National Planning Corporation (NPC), NPC of America in FL & NY, Member FINRA/SIPC, and a Registered Investment Adviser. Registered Representatives of NPC may transact securities business in a particular state only if first registered, excluded or exempted from Broker-Dealer, agent or Investment Adviser Representative requirements. In addition, follow-up conversations or meetings with individuals in a particular state that involve either the effecting or attempting to effect transactions in securities, or the rendering of personalized investment advice for compensation, will not be made absent compliance with state Broker-Dealer, agent or Investment Adviser Representative registration requirements, or an applicable exemption or exclusion. Securus Financial Group, Inc. and NPC are separate and unrelated companies.