Ryan Barke

General Counsel / Chief Compliance Officer at Visionary Wealth Advisors

Ryan Barke currently serves as General Counsel and Chief Compliance Officer at Visionary Wealth Advisors, a position held since July 2018. Prior to this role, Ryan Barke held various positions at Scottrade from December 2014 to July 2018, including VP - Managing Counsel, AVP - Associate General Counsel, and Counsel. Earlier in Ryan Barke's career, experience as an Attorney was gained at Greensfelder, Hemker & Gale, P.C. from August 2009 to December 2014. Ryan Barke holds a JD in Law from Southern Illinois University School of Law, an MS in Sports Management from Western Illinois University, and a BS in Elementary Education from Illinois College.

Location

St. Louis, United States

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Visionary Wealth Advisors

We are a company built by people who love to help others define their life goals, dream big, and accomplish what they set out to do. We are more than wealth advisors. We are Visionaries. Visionaries plan for the future with wisdom, optimism & creativity. They always look forward, inspiring their clients to envision what their future could be, pushing their limits, & encouraging them to achieve their dreams. Visionary Wealth Advisors is a Registered Independent Advisor, and like all RIA firms, we have no proprietary investments to sell, nor have any incentive to recommend funds that do not fully benefit the client. But unlike most RIA firms, we have not set any limits for ourselves.   Our Visionaries have access to the whole world of investment choices. Every recommendation we make is specific and personal to the client, based on their unique situation and life goals. We work together with our clients to help them see and achieve a future greater than their past.


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11-50

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