Sr. Vice President
Brian Lynn works closely with financial advisors to manage compliant practices that are built around the client's best interests. His over 40 years of experience in the financial services industry helps him to truly understand the obstacles advisors face in a constantly changing environment. Working specifically in the fields of compliance and operations since 1998, Brian came over to Michigan Financial Companies in 2004 and has offered his expertise to all of our affiliated offices as we have expanded into seven different states. His role is crucial to maintaining a genuine firm that is dedicated to positively impacting the lives, lifestyles and legacies of the people we work with.