Trinity Financial Partners
John Maresca is a skilled financial professional with extensive experience in client relationship management and investment sales. Currently serving as a Client Relationship Manager at Trinity Financial Partners since June 2021, John previously held similar roles at SEI and First Niagara Bank, where responsibilities included managing investments and training employees to enhance sales activities. Additional experience includes roles in art direction and personal banking, as well as back office support for financial advisors. John Maresca holds a Bachelor’s Degree in Accounting and Finance from Bryant University, earned in 2008.
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Trinity Financial Partners
Welcome to Trinity Financial Partners, where we are helping families and businesses multiply, manage and enjoy wealth. We are an Independent financial advisory firm focused on Comprehensive planning to include investment management, retirement planning, education planning, estate planning, insurance planning (life, disability and long term care), and charitable giving. View our Planning Process Here: http://www.trinityfinancialpartners.com/trinity-planning-process/ Independent We are not tied to any one company or product; we work for you. Trinity was formed to protect our independence on behalf of our clients. Our fee-based planning process allows us to work with your interests foremost in our mind when making recommendations. We are a fiduciary advisor to our clients. Product implementation is a separate engagement and is a natural next step in our planning process. Securities offered through Kestra Investment Services, LLC (Kestra IS), member FINRA/SIPC. Investment advisory services offered through Trinity Financial Partners II, LLC. Kestra Investment Services, LLC (Kestra IS), is not affiliate with Trinity Financial Partners, LLC. This LinkedIn page is published for residents of the United States only. Registered Representatives and Investment Advisor Representatives of Kestra AS, Trinity Financial Partners and Premier Financial Group may only conduct business with residents of the states and jurisdictions in which they are properly registered. Therefore, a response to a request for information may be delayed. Not all of the products and services referenced on this site are available in every state and through every representative or advisor listed. For additional information, please contact the Kestra Investment Services, LLC Compliance Department at 737-443-2582. FINRA: www.finra.org SIPC: www.sipc.org