Disclosures

COMPLIANCE DISCLOSURE

All written content on this site is for informational purposes only. Opinions expressed herein are solely those of Diane L. Esser, CPA, CFP®, Founder of Direction Financial Management, LLC or her editorial staff. Information, resources and material offered are believed to be from reliable sources, and no representations are made as to their accuracy or completeness. Direction Financial Management, LLC has no control over the accuracy or content in websites found through the links within. All information and ideas should be discussed in detail with your individual advisor prior to implementation. The author, publisher and host of this site are not providing legal, accounting, tax, or specific advice concerning your situation. Investment, financial planning and tax advice can only be provided after appropriate disclosures have been provided and an appropriate agreement has been signed by the advisor and client. Links to other sites should not be construed to be a recommendation by Direction Financial Management, LLC. Fee-only financial planning and investment advisory services are offered by Direction Financial Management, LLC, a registered investment advisory firm in the state of Wisconsin. The presence of this website on the Internet shall in no direct or indirect way be construed or interpreted as a solicitation to sell or offer to sell securities or investment advisory services to residents of any state other than the state of Wisconsin or where otherwise legally permitted or where an exemption or exclusion from such registration exists. We are legally empowered to provide investment advisory services to residents of Wisconsin.

“IMPORTANT CONSUMER INFORMATION -Direction Financial Management, LLC and its representatives may only transact business in a particular state after licensure or satisfying qualification requirements of that state are met, or only if they are excluded or exempted from the state’s investment adviser and its representatives requirements, as the case may be; and

• Follow-up, individualized responses to consumers in a particular state by the investment adviser or its representatives 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 investment adviser or investment adviser representative 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, or their representatives, a consumer should contact his or her state securities law administrator.

IRS REQUIRED DISCLOSURE

Any tax advice included on this website was not intended or written to be used, and it cannot be used by the taxpayer, for the purpose of avoiding any penalties that may be imposed on the taxpayer by any governmental taxing authority or agency.