Whether you're planning for retirement, saving for college or simply setting something aside- The Pen Air Asset Management Team , with over 90 years of combined experience, is invested in helping you reach your goals.
Check the background of these investment professionals on FINRA's Broker Check.
Rodney Randle Investment Executive
Rodney Randle has been in the financial services industry since 1984. Rodney began his career with Morgan Stanley and spent 21 years with the firm before moving to Wachovia Securities in 2005. And finally, in 2009, Rodney came to Pen Air Asset Management. Rodney focuses on helping individuals with their investment needs, as well as retirement and estate planning.
Rodney earned his B.S. in Management and M.B.A. degrees from the University of West Florida. He has lived in the Pensacola area for over 35 years and is married with two children.
Scott Mann Investment Executive
Scott Mann has worked in the financial industry since 1983 serving as an Investment Executive. Currently he serves as an Investment Executive for Pen Air Asset Management.
Scott holds a B.A. in Accounting from Auburn University. He moved to Pensacola in 1983 and is married with 2 children and 1 granddaughter.
Steve O'Reilly, CFP® Investment Advisor Representative AVP/Program Manager
Steve O'Reilly has worked in the financial industry since 1987 serving as an accountant, trust officer and financial planner. Currently he serves as AVP of Pen Air Asset Management.
Steve has been a featured speaker at various corporate and professional organizations such as Westinghouse, NAS Pensacola and the Florida Institute of Certified Public Accountants. He is noted for his ability to explain complex concepts in simple terms.
Steve holds a B.A. in Accounting from the University of West Florida and is a Certified Financial Planner® professional. He is a second generation native of Pensacola, is married and has one daughter.
*Securities and insurance products are offered through Cetera Investment Services LLC, member FINRA / SIPC . Advisory Services are offered through Cetera Investment Advisers LLC. Neither firm is affiliated with the financial institution where investment services are offered. Investments are: *Not FDIC/NCUSIF insured *May lose value *Not Financial institution guaranteed *Not a deposit *Not insured by any federal government agency.
Investment Executives are registered to conduct securities business and licensed to conduct insurance business in limited states. Response to, or contact with residents of other states will only be made upon compliance with applicable licensing and registration requirements. The information in this website is for U.S. residents only and does not constitute an offer to sell, or a solicitation of an offer to purchase brokerage services to persons outside of the United States.
Advisory services may only be offered by Investment Adviser Representatives.