BCA Financial Services,an Investment Management firm created to provide smart investing solutions to it's clients in Hillsboro, Washington County, and our surrounding communities. Established in 1979, we have been assisting clients to manage their investment, insurance, and retirement planning needs by matching their financial goals with investment alternatives available in today's changing markets.
We value our relationship with you and believe it is based on mutual trust and understanding. With our client's interest first, we provide planning advice consistent with the clients needs and objectives.We make a special effort to assure your relationship is positive and meets or exceeds your expectations and encourage you to ask questions as our relationship improves with the exchange of information and trust.
Our owners and planners are all Certified Financial Planners® and have assisted our clients through a wide variety of market conditions. We have the experience to provide sound council to our clients in both good times and trying times.However, you should always remember that the markets are uncertain and past performance does not guarantee future results. We provide both fee-based and commission-based financial services.
4660 NE Belknap Court Suite 217
Hillsboro, Oregon 97124
Securities offered by Ron Powne and securities and advisory services offered by Patrick Culligan, Scott Abrahamson and Stephen Crabb, in states where licensed, through KMS Financial Services, Inc., Member FINRA/SIPC and an SEC Registered Investment Advisor.
This site is for informational purposes only and is not an offer to sell or a solicitation of an offer to buy any securities or investment advisory services which may be referenced herein. We may only offer services in states in which we have been properly registered or are exempt from registration. Therefore some of the services mentioned may not be available in your state, and if not, the information is not intended for you.
Investment products and services available only to states where our registered repsentatives are licenced. In the event that we are not licensed in your state we can becom licensed upon request. A Securities and Advisory Services offered through KMS Financial Services, Inc. A registered broker/dealer. MemberFINRA & SIPC. Broker/dealer, investment advisor, BD agent or IA rep may only transact business in a particular state after licensure or satisfying qualifications requirements of that state, or only if they are excluded or exempted from the state’s broker/dealer, investment adviser, or BD agent or IA rep requirements, as the case may be; and follow-up, individualized responses to consumers in a particular state by broker/dealer, investment adviser, BD agent or IA rep that involve either the effecting or attempting to effect transactions in securities or the rendering of personalized investment advice for compensation, as the case may be, shall not be made without first complying with the state’s broker/dealer, investment adviser, BD agent or IA rep requirements, or pursuant to an applicable state exemption or exclusion. For information concerning the licensure status or disciplinary history of a broker/dealer, investment adviser, BD agent or IA rep, a consumer should contact his or her stated securities law administrator."
Securities and advisory services offered, in states where licensed, exclusively through representatives of KMS Financial Services, Inc., Member FINRA/SIPC and an SEC Registered Investment Advisor.
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