Valmark Financial Group
Douglas Wilburn has a diverse work experience spanning over different industries and roles. Douglas has held positions such as General Counsel & Chief Compliance Officer at Valmark Financial Group since 2015. Prior to that, they worked at JPMorgan Chase & Co. as a Managing Director/Chief Compliance Officer from 2006 to 2014. Before joining JPMorgan Chase, they served as a Senior Vice President/Managing Director at Wachovia Securities, LLC from 2001 to 2006. Additionally, they have also held the position of Missouri Securities Commissioner at Missouri Securities Division from 1995 to 2001. Douglas began their career as an Associate - Litigation at Bryan Cave in 1992 and worked as an Assistant Public Defender at Missouri Public Defender from 1990 to 1992. Douglas started their professional journey at A.G. Edwards & Sons, Inc. as a Regional Marketing Coordinator/Financial Advisor from 1985 to 1990.
Douglas Wilburn obtained their Bachelor of Arts degree in Political Science from the University of Missouri-Columbia in 1982. Following this, they pursued their Doctor of Law (JD) degree at Saint Louis University School of Law from 1982 to 1985.
Valmark Financial Group
Since its founding in 1963, Valmark Financial Group has been at the forefront of the financial services industry, working exclusively with successful entrepreneurial wealth transfer and wealth management firms to meet the unique and ever-changing needs of our clients. Our entities specialize in providing life insurance, equity, investment advisory, risk management, and retirement plan products and support services for the industry’s top tier of financial advisors. To learn more about Valmark Financial Group visit our website at: www.valmarkfg.com Securities offered through Valmark Securities, Inc. Member FINRA/SIPC. Investment advisory services offered through Valmark Advisers, Inc., a SEC Registered Investment Advisor.