James Roman Jr.
Advisor at Main Street Financial Life Advisors, LLC
Data sourced from SEC public records (and other sources when available). Some details may be added by the advisor after claiming their profile. Refreshed daily • Updated today.
Advisor at Main Street Financial Life Advisors, LLC
Data sourced from SEC public records (and other sources when available). Some details may be added by the advisor after claiming their profile. Refreshed daily • Updated today.
Location
Moorestown, NJ 08057
Credentials
PFS™, Series 63, Series 65
Industry experience
24 years
James Roman Jr. is a financial advisor with Main Street Financial Life Advisors, LLC, holding a PFS™ designation and Series 63 and 65 licenses. He has 24 years of industry experience and has worked at Main Street Financial Life Advisors since 1999. In addition to his advisory role, he is a principal at Roman & Kulpa, LLC, a certified public accounting firm, and serves as a part-time adjunct instructor at Temple University's Fox School of Business. Main Street Financial Life Advisors, LLC serves individuals, business entities, trusts, estates, and charitable organizations by providing discretionary and non-discretionary investment management alongside tax preparation, accounting consulting, and insurance advisory services through affiliated entities. The firm’s investment process includes financial planning, diversified asset allocation, ongoing monitoring, and reporting using platforms such as eMoney and Orion Communities.
Based on Main Street Financial Life Advisors, LLC
Based on Main Street Financial Life Advisors, LLC
Separate initial fixed fee for financial plan development (investment advisory agreement required).
$0 - $100,000: 2.25% $100,001 - $500,000: 2.00% $500,001 - $1,000,000: 1.50% $1,000,001 - $3,000,000: 1.00% $3,000,001 - $8,000,000: 0.85% $8,000,001 - $13,000,000: 0.75% $13,000,001+: Negotiable
Insurance product commissions paid to licensed insurance agents affiliated with the firm, separate from advisory fees.
Fixed fee or hourly fee for investment-related consulting services in limited situations, agreed upon prior to services.
Account minimum: $500,000 (negotiable and may be waived at the Registrant’s discretion) Fee-only: Investment advisory fees based on tiered percentage of assets under management; also fixed or hourly fees for consulting in limited situations.
212 W. Route 38, Suite 600
Moorestown, NJ 08057
New Jersey · Texas
CWM, LLC
2021 - Present (5 years)
Roman & Kulpa, Llc
2007 - Present (19 years)
Main Street Financial Life Advisors, LLC
1999 - Present (27 years)
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Is active or affiliated with:
Insurance agent
They sell insurance products and may earn commissions on those sales.
Accountant / CPA / tax prep
They offer tax and accounting services, typically for separate fees.
Is not active or affiliated with:
Broker-dealer / trader
They provide brokerage services and may earn transaction-based compensation in addition to advisory fees.
Bank
They're affiliated with a bank that may offer its own financial products and services.
Trust company
They provide trust and estate administration services, typically for separate fees.
Fund sponsor
They manage or sponsor investment funds and may earn management or performance-based fees if clients invest in them.
Lawyer
They provide legal services, typically billed separately.
Real estate agent
They facilitate real estate transactions and may earn commissions.
Other specialized services
They may provide services such as pension consulting or municipal advisory work, typically for separate fees.
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