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  3. Why Choose a Certified Financial Planner™ (CFP®)Professional

Why Choose a Certified Financial Planner™ (CFP®)Professional

FOUR E’S TO BECOMING A CERTIFIED FINANCIAL PLANNER®

Education

CFP® practitioners develop theoretical and practical financial planning knowledge by completing a comprehensive course of study at a college or university offering a financial planning curriculum registered with the Certified Financial Planner Board of Standards.

Examination

CFP® practitioners must pass a comprehensive two-day, 10-hour CFP® Certification Examination that tests their ability to apply their financial planning knowledge in an integrated format. Based on regularly updated research of what planners do, the CFP® Board’s exam covers the general principles of financial planning, insurance planning and risk management, employee benefits planning, investment planning, income tax planning, retirement planning and estate planning.

Experience

CFP® practitioners must have a minimum of three years’ experience working in the financial planning process prior to earning the CFP® mark. As a result, CFP® practitioners have demonstrated a working knowledge of counseling skills in addition to their financial planning knowledge.

Ethics

As a final step to certification, CFP® practitioners must pass an ethics review and agree to abide by the CFP® Board’s Financial Planning Practice Standards and a strict code of professional conduct, known as the CFP® Board’s Code of Ethics and Professional Responsibility. The Code of Ethics states that CFP® practitioners are to act with integrity, offering professional services that are objective and based on client needs.

RE-CERTIFICATION

It is also necessary for every CFP® certificant, once certified, to complete a re-certification every two years. Those seeking to maintain their certification must attain a minimum of 30 hours of continuing education in order to stay current with developments in the financial planning profession and to better serve their clients. Two of these hours must be spent studying the CFP® Board’s Code of Ethics and Professional Responsibility or Financial Planning Practice Standards.

Life Planning

  • Why Life Planning
  • Why Benefit From a Financial Planner
  • Why Use a Financial Planner
  • Why Choose a CFP® Professional
  • Why Follow the Financial Planning Process

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  • 1400 K St., Anchorage, Alaska 99501 United States
  • Phone: (907) 276-0619
  • 621 Pine Street Ketchikan, AK 99901 United States
  • Phone: (907) 225-0619
  • Email:Terry@afa-associates.com

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 offered through LPL Financial Member FINRA & SIPC . David Rotatori is an Investment Adviser Representative of The Independent Advisor Alliance, IAA, a Registered Investment Adviser. Registered Representatives of LPL may transact securities business in a particular state only if first registered, excluded or exempted from Investment advice offered through Independent Advisor Alliance, a registered investment advisor. Independent Advisor Alliance and Alaska Financial Associates (AFA) are separate entities from LPL Financial. The LPL Financial representative associated with this website may discuss and/or transact securities business only with residents of the following states: AK, AZ, CA, CO, FL, GA, ID, MA, ME, NC, ND, NV, OK, OR, SC, TX, UT, VT, WA

CFP®, CERTIFIED FINANCIAL PLANNER® and the CFP logo are federally registered Service Marks of The Certified Financial Board of Standards, Inc. Colorado.

Investment advice offered through Independent Advisor Alliance, a registered investment advisor.

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