Leon J. Colafrancesco, CFP®

After graduating from California State University at Fullerton in 1979 with a degree in Business Administration, Leon began his financial planning/money management practice in Orange County, California. In 1998, Leon founded Seamount Financial Group, Inc. and continues to serve as president.

Over his thirty years of experience in finance, he has developed a keen eye for market, economic, and socio-political trends and how they apply to a client's personal strategy and investment portfolio. Leon specializes in comprehensive financial planning, wealth management, and assisting clients in coordinating a broad range of business, personal and family elements.

Leon is a member of the Financial Planning Association and is actively involved in the community by serving on various boards of non-profit organizations. Leon is a Certified Financial PlannerTM, an FINRA Registered Securities Representative, General Securities Principal, and a licensed Life and Health agent (CO License #109358). In his spare time, he enjoys spending time with family, traveling, and many outdoor activities.

Christopher R. Dorsett, CFP®

Chris has assisted clients with their financial planning needs for over 16 years, and particularly enjoys helping clients organize their financial lives as they pursue their long-term goals.

Chris is a Certified Financial PlannerTM, a FINRA Registered Securities Representative, a General Securities Principal and a Licensed Life Insurance agent (CO License #283374). He received his Bachelor of Science degree in finance from California State University at Fullerton in 1994.

Chris is active in advising both personal and small business clients within the context of their comprehensive financial plan and the various implications of the actions recommended by the plan. This includes researching specific client issues and client strategy implementation. Chris offers insight to industry and business cycle trends, strategic and tactical investment strategies, risk analysis, and continued financial education. Actively involved in outside interests, Chris provides financial counseling and premarital classes through his church and enjoys spending time with his family on trips that include both road and mountain biking, skiing and camping.

Michael J. Healy

Mike began his securities career in 1982 after graduating from the University of Southern California with a Bachelor of Science degree in public affairs. In addition to his years of experience in the investment industry, Michael is an FINRA Registered Representative and General Securities Principal. He is also licensed in the State of California for life and variable annuities (CA License #OA55906).

Mike specializes in fixed income securities (tax-free and taxable bonds) and the management of individual stock and bond portfolios. He assists in the implementation and management of small business retirement plans. Michael is actively involved in community sports programs.

Aaron M. McLaughlin, CFP®

Aaron began his career in finance after graduating from Colorado State University with a Bachelor of Science degree in Psychology. He joined Seamount Financial Group after gaining unique exposure to the financial industry through his employment at several regional and national banks. Aaron focuses on retirement transitions and multi-generational planning and specializes in advanced Social Security planning strategies, life insurance design, and education planning.

Aaron holds his FINRA Series 7 and Series 66 registrations and is a licensed Life and Health Insurance agent (AZ License #13240775). He is a member of the Financial Planning Association and an active member of his church, volunteering with a number of local community outreach ministries. Outside of the office, Aaron enjoys spending time with his wife and three sons, golfing, snowboarding, and attending live concerts.

Seamount Financial Group, Inc. is a Registered Investment Adviser with the U.S. Securities and Exchange Commission. However such registration is not an endorsement by the Commission.

Securities offered through H.Beck, Inc., Member FINRA/SIPC.
Investment advisory services offered through Seamount Financial Group, Inc.
Seamount Financial Group, Inc. and H. Beck, Inc. are not affiliated.
View the background of this firm on FINRA's BrokerCheck