Chelsea Financial Services is proud to announce the hiring of a new Compliance Officer, Stephen Sebold, to be based in their Staten Island office. Sebold was a Senior Manager for AXA Advisors before joining Chelsea Financial. Sebold is an Accredited Portfolio Management AdvisorSM (APMA®), having received his certification in 2019. In addition, Sebold holds FINRA Series 7, 24, 63, 65 licenses.
“I was at AXA Advisors for over 18 years.” said Sebold. “I had a wide set of responsibilities as a Senior Manager at the firm, so I’m excited to be joining Chelsea Financial Services to leverage my investments and management experience in the Compliance department. Chelsea Financial is a growing national Broker/Dealer with coverage in nearly every state, and I’m here to help ensure and support our steady growth.”
Sebold lives in Long Island, NY and is married with 3 children.