About Us
ETC Brokerage Services is a broker-dealer registered with the SEC, and a member of SIPC and FINRA, providing brokerage services to individual retirement and other custodial accounts for which its affiliate, Equity Trust Company, serves as custodian.
Who is ETC Brokerage?
ETC Brokerage Services is committed to service excellence for self-directed investors. We offer brokerage services primarily to self-directed account holders of our affiliate Equity Trust Company. An account with ETC Brokerage Services allows for easy and timely transfer of funds and certain assets between the two companies. We provide our customers with the convenience of online trading and research tools along with experienced registered representatives ready to assist you with trading and questions.
ETC Brokerage Services provides self-directed brokerage services and does not provide investment advice, solicit trades, nor provides discretion with regards to securities or price.
ETC Brokerage Leadership
Cat Davies
Chief Executive Officer, ETC Brokerage and Innovayte
Cat has more than 25 years of experience in the Wealth Management space and is responsible for creating the strategic plan for Innovayte.
Jon Moore
President and Chief Operating Officer, ETC Brokerage
With three decades of leadership expertise in broker dealer and RIA custody roles, Jon is a seasoned executive who has made significant contributions to the financial industry.
Jeffrey Abramczyk
Chief Financial Officer
Jeffrey has 30+ years of diversified experience in capital markets, brokerage operations and wholesale banking.
Jason Strickland
Chief Compliance Officer
Jason has more than 20 years of financial services experience including senior management and executive level roles at E*TRADE, Folio Investing, and Goldman Sachs.
Jason Andreula
Vice President of Credit Risk & Margin
Jason has over 25 years of brokerage operations and trading oversight expertise, including 18 years in Senior Management roles and brings with him a wealth of knowledge.
Stephanie Gutierrez
Vice President, Broker Dealer Administration
Stephanie has worked in finance and technology since 1987. Stephanie lead a team of analysts and developers to architect the Equity Advisor Solutions product offering and is now a part of the ETC Brokerage executive team. At ETC Brokerage, she is managing the program that will move the firm from a correspondent to a self-clearing entity.
Jay Bayne
Director of Trading and Middle Office
Jay brings a wealth of experience and expertise with his robust background in providing brokerage services.
Eamon Twomey
Vice President, Brokerage Operations & Client Service
Eamon has decades of experience in the financial services space overseeing custody, asset clearing, advisor transition services, organizational readiness and trading support.
Cat Davies
Chief Executive Officer, ETC Brokerage and Innovayte
Catherine “Cat” Davies is the Chief Executive Officer of Innovayte. Innovayte is a full-service custody and clearing firm that specializes in supporting and servicing independent RIAs, introducing broker dealers and hybrid advisors. Cat is responsible for creating a strategic plan with new branding and marketing, expansion and implementation of strategy to a full-scale plan, and leading the team to create a scalable, technology-enabled business service platform with broad portfolio of complimentary products and services.
Prior to joining Innovayte, Cat worked at Hightower as the Chief Solutions Officer responsible for the development, management and adoption of Hightower’s business solutions and services. Prior to joining Hightower, Ms. Davies brought more than 25 years of strategic experience to firms such as Fidelity Investments and Charles Schwab.
Jon Moore
President and Chief Operating Officer
Jon is the President and Chief Operating Officer of ETC Brokerage Services. With three decades of leadership expertise in broker dealer and RIA custody roles, Jon is a seasoned executive who has made significant contributions to the financial industry.
In his most recent role as Managing Director at Charles Schwab Advisor Services, Jon oversaw critical functions such as Trading, Middle Office, Client Service, and Operations. Jon has also served in Sales capacity roles, where he was responsible for cultivating relationships with RIA clients.
Jon holds a B.S. in Business Administration with a minor in Math from the State University of New York at Oswego, in addition, he holds an MBA from Arizona State University. Along with his academic achievements, Jon boasts a comprehensive set of licenses, including Series 7, 9, 10, 24, 55, and 63. Beyond his professional pursuits, Jon is an avid reader of nonfiction books and a slightly below average guitar player. He also enjoys spending time outdoors with his wife and daughter.
Jason Strickland
Chief Compliance Officer
Jason has more than 20 years of financial services experience including senior management and executive level roles at E*TRADE, Folio Investing, and Goldman Sachs. Jason is a driven professional that has demonstrated progressive leadership experience in brokerage and compliance operations developing successful AML/KYC compliance, risk management programs and implementing procedures and controls to support key disciplines such as trading, client onboarding, financial crimes, and fraud investigations. He has extensive experience interacting with C-level executives through program governance, and skilled at relationship building to balance an effective compliance program while still advancing key business goals. Jason earned his bachelor’s degree in business from The University of Phoenix and his MBA from the Gies College of Business at the University of Illinois. He holds FINRA Series 7, 24, 99, SIE and 63 licenses and is also a Certified Fraud Examiner and Certified Anti-Money Laundering Specialist.
Jeffrey Abramczyk
Chief Financial Officer
Jeffrey is Chief Financial Officer of Innovayte, with 30+ years of diversified experience in capital markets, brokerage operations and wholesale banking. He specializes in financial and operations, risk management, compliance, and internal auditing, and he has experience in various roles, including CFO, CCO, controller, and general auditor. With a proven track record, Jeffrey has addressed requirements through sound strategies, risk management frameworks, and financial operations.
Prior to joining Innovayte, Jeff has consulted with financial institutions, technology firms, and FinTechs, and held executive roles at major financial services firms such as HSBC, JPMorgan Chase & Co. and Pershing.
Jeffrey received his BBA and MBA from Baruch College CUNY, is a Certified Public Accountant in New York State, and he is qualified with FINRA with the Series 7, 24, and 27. Jeffrey is a member of the American Institute of CPAs and the New York State Society of CPAs where he participates on the Stock Brokerage and Banking Committees.
Jason Andreula
Vice President of Credit Risk & Margin
With over 25 years of brokerage operations and trading oversight expertise, including 18 years in Senior Management roles at TD Ameritrade, Safra Securities and E*TRADE Financial. Jason has established an analytical mindset driven by continuous process improvement, building and structuring teams that focus on meeting strategic organizational goals while developing skill sets to drive topline performance.
Jason has deep expertise in operational Risk Management, Credit lending, ACAT’s, Fraud, AML and Trade Compliance. Jason is highly valued for protecting organization credit risk, keeping the firm in Regulatory Compliance, while always seeking to add value to the overall client experience.
Jason has a bachelor’s degree in finance and economics from Saint Michael’s College and an Executive Leadership Certification from the Securities Industry Institute Program at Wharton. Jason is FINRA licensed Series: 7, 63, 8, 9, 10, 24 & 4.
Stephanie Gutierrez
Vice President, Broker Dealer Administration
Starting her career at a boutique brokerage firm, Stephanie moved to First Trust Corporation (aka Fiserv Investment Support Services) where she spent over 20 years with the IRA custodian. Working on the technology side of business acquisitions and system conversions, Stephanie was promoted to manage business analysts and moved into Product Development in the 401(k) record keeping space, then to the advisor custody arena. Fiserv ISS was acquired by T.D. Ameritrade and Stephanie was instrumental in the conversion process. In 2010, she and Sean Gultig, started Equity Advisor Solutions. In 2021, Stephanie was awarded the Hispanic Product Manager of The Year award by Wealth Solutions Report for her work on integrating the Equity Trust Company Cryptocurrency Program. Stephanie is a Colorado native, she enjoys the outdoors, traveling, and experimenting in the kitchen. Her studies were at Central Bible College and Regis University, in Computer Information Systems.
Eamon Twomey
Vice President, Brokerage Operations & Client Service
Eamon serves as Vice President of Brokerage Operations & Client Service. He has decades of experience in the financial services space, most recently overseeing custody and asset clearing functions at Charles Schwab for over $8T in assets. He was an integral part of their multi-year integration of TD Ameritrade involving conversion of 18M accounts and $26B of assets onto a single platform. In addition, he has worked in both institutional and retail areas, leading various segments and teams supporting advisor transition services, organizational readiness, and advisor custody & trading support.
Prior to Schwab, Eamon was chief operating officer (COO) of The Hartford Broker Dealers where he had responsibility for defining operational processes and controls and was a senior officer of Curian Capital, where he oversaw the operations of over 100,000 accounts and $10B in assets.
Eamon holds a bachelor’s degree in Finance from Marist College in New York and an Executive MBA degree from the University of Denver. He serves on the Daniels Executive Advisory Board at the University of Denver (DU) and is an adjunct professor at the Daniels College of Business at DU. He also holds FINRA licenses 3, 4, 7, 9, 10, 24, 27, 53, 55, 63 and 99. In his spare time, he likes to play golf, tennis, hike and enjoy the great outdoors of Colorado.
Jay Bayne
Director of Trading and Middle Office
Jay brings a wealth of experience and expertise to the ETC Brokerage team as our new Director of Trading and Middle Office. Jay has previously worked at major financial institutions, including Charles Schwab and TD Ameritrade and has a robust background in providing brokerage services. His proficiencies span across various domains including trading rules, practices and policies, client and team management, risk management, and communication at all levels of leadership. He has actively engaged in technology development, spearheading the creation of cutting-edge trading platforms and facilitating seamless technology conversions.
In his spare time, he enjoys spending time with friends, family and especially his new grandsons.
INVESTMENT PRODUCTS
Equity Trust Company clients can purchase the following public securities with an ETC Brokerage account:
Publicly Traded Stocks
Mutual Funds
Exchange Traded Funds (ETFs)
Fixed Income Securities:
Bonds, Treasuries, CDs
Options
Potential Benefits
ETC Brokerage accounts are held as a position within an
Equity Trust Company self-directed account.
Seamless movement of funds between trust and brokerage accounts
Trust and brokerage accounts are linked for fast and convenient money transfer between Equity Trust and ETC Brokerage Services. Funds ACH between the two firms within 24 hours.
Exceptional customer service
Our associates are experienced registered representatives with an average of 17 years of industry experience.
Investment Protection
Our clearing firm, Axos Clearing LLC, maintains physical, electronic and procedural safeguards in accordance with legal standards and established security procedures.
Securities Investor Protection Corporation (SIPC)
Axos Clearing, LLC is a member of the Securities Investor Protection Corporation (SIPC), which provides coverage for accounts up to $500,000 (including up to $250,000 in cash) per client as defined by SIPC rules.
Axos Clearing, LLC Insurance Policy
Their policy through Lloyd’s of London provides additional account coverage up to $24.5 million (including up to $1,150,000 in cash) per client as defined by SIPC rules. With both SIPC and Lloyd’s of London coverage, accounts are protected up to a total of $25 million per client (as defined by SIPC rules) including up to $1,150,000 for cash balances, with an aggregate limit of $100 million.
Loss of the Market Value
This coverage does not protect against the loss of the market value of securities. For more information visit http://www.sipc.org/, http://www.lloyds.com, or https://axosclearing.com/safeguarding-client-assets-and-information/
Disclosures & Disclaimers
The Securities Investor Protection Corporation - SIPC Disclosure: No coverage is provided for a market loss in value. Securities and cash held by individuals in ETC Brokerage Services accounts are protected from insolvency of the brokerage firm up to their net equity value by a combination of coverages provided by the Securities Investor Protection Corporation (SIPC), a non-profit organization created by an Act of Congress. SIPC protects up to $500,000 of your securities, of which up to $250,000 may be uninvested cash. Additional protection up to the full net equity value of each account, including uninvested cash, may be provided to the extent of funds recovered by SIPC. SIPC coverage applies only to securities and cash in the exclusive possession and control of ETC Brokerage Services and does not protect against losses due to fluctuations in the market.
Additional information about SIPC and asset protection may also be found at www.SIPC.org