Christopher Connell, MBA
Phone: 845-294-1313 Christopher Connell, MBA, entered the financial services industry with the goal of helping his clients succeed. "I was drawn to the opportunity to assist people in creating a plan that can help them reach their personal and financial goals." With Quest Financial being a fully independent firm, Christopher is able to make his clients' needs his top priority when helping to develop a sound plan for their future. Christopher graduated cum laude from Quinnipiac University with a Bachelor of Science degree in Finance. While at Quinnipiac, Christopher was accepted into the Financial Management Association and was also a member of the University's Student-Managed Portfolio. Christopher went on to achieve his Masters of Business Administration at Quinnipiac before joining Quest Financial. Christopher is an Investment Advisor Representative who has his series 7 and 63 licenses. He is also a licensed producer for Life, Health, and Accident insurance. Christopher is also an accomplished golfer who excelled at the NCAA Division I level while at Quinnipiac. ![]()
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Main Office: Phone: 845-343-2244 |

All information herein has been prepared solely for informational purposes, and it is not an offer to buy or sell, or a solicitation of an offer to buy or sell any security or instrument or to participate in any particular trading strategy.
Securities and investment advisory services offered through NATIONAL PLANNING CORPORATION. (NPC), NPC of America in FL & NY, Member FINRA/SIPC, and a Registered Investment Adviser. Registered Representatives of NPC may transact securities business in a particular state only if first registered, excluded or exempted from Broker-Dealer, agent of Investment Adviser Representative requirements. In addition, follow-up conversations or meetings with individuals in a particular state that involve either the effecting or attempting to effect transactions in securities, or the rendering of personalized investment advice for compensation, will not be made absent compliance with state Broker-Dealer, agent or Investment Adviser Representative registration requirements, or an applicable exemption or exclusion. Quest Financial Services and NPC (NPCOA) and separate and unrelated companies.