.
  


Crossbridge Financial Group, LLC has been providing access to financial planning and investment advice to individuals and businesses since 1997. As an independent financial firm and as Investment Adviser Representatives of Commonwealth Financial Network, we proudly oversee client assets totaling over $585 million (as of May 2013).

Our clients come to us with a broad range of financial needs and concerns—whether its individuals who are approaching retirement or a business owner looking to implement a company retirement plan, we can help.

Regardless of the issue at hand, three factors have consistently contributed to our clients’ success:
  • A Personalized Approach
    Financial planning is a process that needs to be carefully considered, with each step building upon the next. You need a clear, well thought out course of action, which is why we take the time to get to know each of our clients. We want to make sure we fully understand your goals, needs, challenges, and attitudes before we recommend a course of action.

  • No Bias Towards Proprietary Products
    We are an independent firm and are not affiliated with any proprietary products. This gives us the freedom to choose from a wide selection of investment options without bias towards any particular products.

  • Extensive Experience
    The advisors of Crossbridge Financial Group have an average of 25 years of experience. Each encourages cooperation with a client's personal attorney, accountant, or other professionals to create a well-rounded counseling team.

290 Linden Oaks, Suite 320, Rochester, New York 14625
Phone: 585.203.1130   Fax: 585.203.1125

HOME | OUR SERVICES | ABOUT US | ACCOUNT ACCESS | APPOINTMENT REQUEST | ARTICLES | FACT vs FICTION | THE MARKET | USEFUL LINKS | CONTACT US
This communication strictly intended for individuals residing in the states of AL, AR, AZ, CA, CO, CT, DC, DE, FL, GA, HI, IA, IL, IN, KS, LA, MA, MD, ME, MI, MN, MO, MS, MT, NC, NH, NJ, NM, NV, NY, OH, OK, OR, PA, RI, SC, TN, TX, UT, VA, VT, WA, WI, WY. No offers may be made or accepted from any resident outside these states due to various state regulations and registration requirements regarding investment products and services.
Investments are not FDIC- or NCUA-insured, are not guaranteed by a bank/financial institution, and are subject to risks,
including possible loss of the principal invested.
Securities and advisory services offered through Commonwealth Financial Network®.
Member FINRA, SIPC, a Registered Investment Advisor.
Privacy Policy
© Copyright 2007 - 2014