News By Tag
* Investment Advisor
* Career Move
* Goldman Sachs
* Wealth Management
* Financial Advisor
* More Tags...
News By Location
Allan Boomer joins Fiduciary Management Group from Goldman Sachs
Allan Boomer, a former Goldman Sachs Vice President, has joined Fiduciary Management Group, a premier independent wealth management firm. Boomer spent seven (7) years in Goldman's Private Wealth management group, and managed $450mm in investments.
Allan began his Wall Street career at Merrill Lynch in 1999, where he worked in management within the firm’s Private Client Services division. He has a Master’s of Business Administration (MBA) in Finance, Accounting and Entrepreneurship from New York University’s Stern School of Business. He also has a BS in Marketing from Morgan State University in Baltimore MD and is NASD Series 7, Series 66 and Series 3 licensed.
Outside of work, Allan is very active in the community, serving as a Trustee of Good Shepherd Church (Newark NJ), Chairman (emeritus) of the NYU Stern Alumni Board and an ex-Officio member of the NYU Stern Board of Overseers. He also serves as a mentor through the Robert Toigo Foundation. Allan resides in Somerset NJ, with his wife Jeanell and their three children.
Ivan Thornton, Managing Partner of FMG has the following to say about his firm’s latest recruit:
“I have had the pleasure of mentoring Allan since he was a standout MBA student at my alma mater, the NYU Stern School of Business. There are few professionals in our industry who meet the high standard of excellence and integrity that Mr. Boomer represents. We are both excited and proud to have him on board.”
# # #
About Fiduciary Management Group (FMG):
FMG is a premier wealth management and financial planning firm, dedicated to providing individual investors with objective, strategic and trustworthy financial advice. Created to address the financial needs of wealthy individuals, FMG consistently excels at providing tailored solutions to our unique client base. Based in New York City and founded in 2005, the firm is a Securities Exchange Commission (SEC) Registered Investment Advisor.