Broker Check
Joseph Hayes

Joseph Hayes

Chief Compliance Officer

Series 7, Series 24, Series 66, North Carolina Insurance License

 Joe joined Synergy Wealth Management in 2005.  He began his career at Merrill Lynch. Joe has a son Jack who recently graduated from the University of North Carolina Chapel Hill.

He is also the Chief Compliance Officer of Synergy Investment Group, Inc.

Securities Offered Through SA Stone Wealth Management, Inc.

Member FINRA/SIPC

Advisory Services Offered Through Synergy Investment Group, Inc.

Insurance Products Offered Through Synergy Insurance Group

Synergy Investment Group LLC and Synergy Insurance Group, Inc are not affiliated with

SA Stone Wealth Management

 

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