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Ron is the Director of Financial Services of Porte Brown Wealth Management and is responsible for providing wealth management solutions for individuals and businesses tailored to achieve the client’s specific goals. Ron has been in the financial services industry since 1984 and obtained his CERTIFIED FINANCIAL PLANNER™ certification in 1988. Ron owned his own business for 20 years before joining Porte Brown.
Ron and his team provide their clients with personalized attention and focus on their client’s financial goals and address changes to their financial situations as they arise.
Porte Brown Wealth Management offers the following:
• Retirement Planning
• Debt Management
• Estate Planning
• Education Planning
• Tax Planning
• Business Planning
• Investment Planning
• Special Situations
• Income Protections & Asset Preservation
B.S., Finance, Northern Illinois University
Ron Manso obtained his CERTIFIED FINANCIAL PLANNERTM
Certification in 1988
FINRA Series 7
FINRA Series 63
Illinois Life, Accident & Health Insurance
At Porte Brown we know that interesting people make for interesting stories. We pride ourselves on being relatable professionals with family, friends, interesting hobbies, and a deep appreciation for individual growth!
• Enjoys golfing!
• Has three children and beautiful wife!
• Is a big Chicago sports fan!
• Has been in financial services for 30 years!
• Has lived in Vernon Hills and volunteered for many organizations for over 24 years!
• Is afraid of heights!
*Securities offered through 1st Global Capital Corp. Member FINRA, SIPC. Investment advisory services offered through 1st Global Advisors, Inc. We currently have individuals licensed to offer securities in the states of AL, AZ, CA, CO, CT, FL, GA, HI, ID, IL, IN, KY, MI, MS, MO, NV, NJ, NC, OH, RI, TN, TX, WA, WV and WI. This is not an offer to sell securities in any other state or jurisdiction.