
Chad Snyder
Compliance Officer
Chad is a compliance officer for Mark J. Snyder Financial Service, Inc. and Long Island Financial Advisors, Inc. Chad insures that all licensed representatives meet all regulatory requirements.
Chad also assists with the technical analysis for the management program for variable annuities, 403(b) and 401(k) plans. e reviews and researches the range of investment choices for client plans.
In his free time Chad enjoys building and managing his successful music company.
Chad separately holds his Series 7 and 64 Securities registrations. Chad is also a General Securities Principal (Series 24).
Chad currently resides in Brooklyn, New York.