Appointments
Investment Team
Schedule a meeting with a Financial Advisor.
Unable to find a time that works for you? Complete our contact form and we will reach out to schedule a time.
Your investment accounts will be moving to LPL Financial.
Questions about our move? Learn More
Count on a good experience.
Our skilled financial advisors are ready to speak with you by video or phone. Whether you’re just getting started or need help pursuing that next goal, we’re your partner in helping you toward future financial independence.
Appointments
To schedule an appointment with one of our Financial Advisors, click the area closest to you from the list below to find an advisor ready to help you.
- Santa Rosa and surrounding areas
- Northern Sonoma County, Mendocino County & Lake County
- South Sonoma County
- Marin County, Napa & San Francisco
What will we discuss?
- Your risk tolerance, financial goals, and objectives
- Any investment experience you have
- Your income and expenses / budget and spending
Santa Rosa
Lin Buencamino
Financial Advisor
Serving Members Since 2016
Gerlynbee Buencamino
1205 N. Dutton Avenue, Santa Rosa, CA 95401
CA Insurance Lic. #0I36682
Clark Matthiessen, CFP®, CRPC®, CWS®
Wealth Advisor
Serving Members Since 2001
3033 Cleveland Avenue, Ste 100, Santa Rosa, CA 95403
CA Insurance Lic. #0C63928
Kevin Onizuka, CRPC®
Financial Advisor
Serving Members Since 2015
2763 4th Street, Santa Rosa, CA 95405
CA Insurance Lic. #0H06139
Michael Septimo, CRPC®, Certified Financial Fiduciary®
Financial Advisor
Serving Members since 2021
2460 Mendocino Avenue, Santa Rosa, CA 95403
CA Insurance Lic. #4045686
Chris Garcia
Financial Advisor
Serving Members Since 2019
Christopher Garcia
2763 4th Street, Santa Rosa, CA 95405
CA Insurance Lic. #0G18908
Dani Beasley, MBA
Investment Representative
Serving Members Since 2022
Danielle Beasley
1205 N. Dutton Avenue, Santa Rosa, CA 95401
CA Insurance Lic. #0K37660
North Sonoma County, Mendocino County & Lake County
Sara Crouch
Financial Advisor
Serving Members Since 2018
3033 Cleveland Avenue, Ste 100, Santa Rosa, CA 95403
CA Insurance Lic. #0C80834
Mike DeFazio, AIF®, WMS℠
Wealth Advisor
Serving Members Since 2007
195 South Orchard Avenue, Ukiah, CA 95482
CA Insurance Lic. #0D98092
Yadira Bravo
Financial Advisor
Serving Members since 2023
195 South Orchard Avenue, Ukiah, CA 95482
CA Insurance Lic. #0L30933
South Sonoma County
Steven Kerston
Financial Advisor
Serving Members Since 2011
7480 Covert Lane, Sebastopol, CA 95472
CA Insurance Lic. #0G12454
Julie Lynch, AIF®, CRPC®
Wealth Advisor
Serving Members Since 2014
3033 Cleveland Avenue, Ste 100, Santa Rosa, CA 95403
CA Insurance Lic. #0H30758
Marin, Napa & San Francisco
Joseph Turfa, CRPC®
Wealth Advisor
Serving Members Since 2009
480 Devlin Road, Napa, CA 94558
CA Insurance Lic. #0C44098
Mario Pometta, AIF®
Financial Advisor
Serving Members since 2022
1010 Grant Avenue, Novato, CA 94945
CA Insurance Lic. #0K26616
Chris Carter
Financial Advisor
Serving Members since 2021
Christopher Carter
1390 Market Street, San Francisco, CA 94102
CA Insurance Lic. #0H17017
Check the background of investment professionals associated with this site on FINRA’s BrokerCheck.
Disclosures
The financial professionals at Redwood Wealth Management are Financial Advisors with, and securities and advisory services are offered through LPL Financial (LPL), a registered investment advisor and broker-dealer (member FINRA/SIPC). Insurance products are offered through LPL or its licensed affiliates. Redwood Credit Union and Redwood Wealth Management are not registered as broker-dealer or investment advisor. Registered representatives of LPL offer products and services using Redwood Wealth Management, and may also be employees of Redwood Credit Union. These products and services are being offered through LPL or its affiliates, which are separate entities from, and not affiliates of, Redwood Credit Union or Redwood Wealth Management. Securities and insurance offered through LPL or its affiliates are:
Not Insured by NCUA or Any Other Government Agency | Not Credit Union Guaranteed | Not Credit Union Deposits or Obligations | May Lose Value |
The LPL Financial registered representative(s) associated with this website may discuss and/or transact business only with residents of the states in which they are properly registered or licensed. No offers may be made or accepted from any resident of any other state.
Your Credit Union (“Financial Institution”) provides referrals to financial professionals of LPL Financial LLC (“LPL”) pursuant to an agreement that allows LPL to pay the Financial Institution for these referrals. This creates an incentive for the Financial Institution to make these referrals, resulting in a conflict of interest. The Financial Institution is not a current client of LPL for brokerage or advisory services.
Please visit https://www.lpl.com/disclosures/is-lpl-relationship-disclosure.html more detailed information.
About Lin Buencamino
Working in the financial services industry since 2005, Lin Buencamino understands the complexities of different economic and financial situations, including the financial needs of individuals and small businesses.
As a recipient of Sonoma Valley People’s Choice Award for Best Financial Planner/Investment Advisor multiple years since 2019, Lin’s knowledge, experience, and dedication to Members shines through year after year.
Lin enjoys providing guidance and education to help Members pursue their goals and feel confident in their financial future through a well-executed financial plan. She loves helping people and feels lucky to be able to carry out her passion daily.
FINRA Licenses: Series 6, 63, 65 – Life Insurance License: CA #0I36682
State Securities Licenses: CA
About Kevin Onizuka, CRPC®
Working as a licensed financial advisor since 2009, Kevin Onizuka provides his clients with insightful, experience-backed advice.
Kevin believes the best part of his job is helping Members reach their financial goals. Whether they want to save for a home, build college tuition for a child, or plan for retirement, Kevin is passionate about helping Members create a strategy and guide them from milestone to milestone.
The go-to financial tip Kevin shares with his clients: Planning is key. Determining a realistic financial goal, and creating a strategy to reach that goal, is a must.
FINRA Licenses: Series 6, 7, 63, 66 – Life Insurance License: CA #0H06139
State Securities Licenses: AZ, CA, FL, HI, ID, MT, NV, NY, OR, SD, TX, WA
Michael Septimo, CRPC®, Certified Financial Fiduciary®
Michael Septimo likes to get a full-picture understanding of a Member’s finances before recommending solutions, an approach he honed during his previous roles as a financial services provider. His goal is to simplify his clients’ financial lives while becoming a life-long trusted advisor. The opportunity to help people make informed decisions about their financial affairs and gain some security and peace of mind is one reason why he loves working in the finance industry.
FINRA Licenses: Series 6, 7, 63 & 65 – Life Insurance License: CA #4045686
State Securities Licenses: CA, WA, AZ, CO, CT, FL, GA, ID, MN, MT, NV, OH, VA, NY
About Sara Crouch
Part of the Redwood Credit Union team in 2018, Sara Crouch’s approach when serving Members is to not focus on every concern immediately but to address the most important first, build on small successes, and use those successes to guide the next phase of planning.
Sara understands every Member has unique circumstances, life experiences, and goals, which all help guide her when developing solutions. She believes financial success begins with taking actionable steps, small or large, in the right direction.
Sara’s beliefs align with RCU’s philosophy of fostering financial well-being for every Member, and she truly loves serving clients from all walks of life.
FINRA Licenses: Series 6, 63 & 65 – Life Insurance License: CA #0D87798
State Securities Licenses: CA
About Dani Beasley, MBA
Over the years, Dani Beasley has worked in a variety of roles helping Members with their current and future financial goals. As RCU’s Investment Representative, she focuses on educating people about all their options based on their individualized needs and enjoys building trustworthy, long-term relationships with every client. With a background as a paralegal for a trust attorney, Dani has a wealth of information and experience that helps her provide the best possible service to Members.
FINRA Licenses: Series 6, 63 – Life Insurance License: CA #OK37660
State Securities Licenses: CA
About Steven Kerston
Specializing in the areas of insurance, retirement planning, and risk management, Steven Kerston has been serving Members since 2011. He makes it a point to really listen to his clients, learning about their goals before providing solutions.
Steven is committed to helping his clients throughout their entire investment journey. From starting a career to growing a family or running a business, Steven is passionate about making complex investment situations feel simple for his clients.
Steven believes knowledge and service are key to a strong relationship between advisor and client, and he strives to provide a high level of both to everyone he serves.
FINRA Licenses: Series 6, 7, 63 & 65 – Life Insurance License: CA #0G12454
State Securities Licenses: CA, FL, NV, OR, TX, VA, WA
About Dylan Carey
Possessing strong analytical and communication skills, Dylan Carey strives to effectively connect Members’ financial goals to their investment strategies. He enjoys working with Members to help ease the anxieties around financial events.
His goal during every client meeting is to identify unnecessary expenses, increase earnings, and build a portfolio that fits the Member’s personal risk profile. He always tries to ensure the Member leaves feeling calm and confident about the long-term plan they’ve worked together to implement.
Before transitioning to Financial Advisor in 2021, Dylan served as both a Financial Analyst and Senior Financial Analyst at Redwood Credit Union. He continues to enhance his knowledge in economics and capital markets by consuming relevant resources and materials.
FINRA Licenses: Series 7, 66 – Life Insurance License: CA #4035950
State Securities Licenses: CA, TN
About Chris Garcia
With numerous years of experience in the financial services industry, Chris Garcia understands every Member’s financial situation is unique and strives to provide a personal, individualized financial plan for each of his clients.
As an RCU team member, Chris is passionate about helping members bring the future into focus so they can take actionable steps now to achieve their financial goals. He does this by providing sound investment advice, financial analysis, and portfolio management.
Chris enjoys getting to know his Members and learning about their future aspirations. He believes doing so establishes a solid foundation for working together and developing an investment plan.
FINRA Licenses: Series 7, 31, 63 & 66 – Life Insurance License: CA #0G18908
State Securities Licenses: CA, HI, PA
About Mario Pometta, AIF®
Since 2014, Mario Pometta has understood the unique needs of every individual he works with. He considers it to be a great privilege to help people pursue their dreams, work toward their goals, and help them to envision and create their best possible future.
Now, as part of the team at Redwood Wealth Management, Mario is committed to working closely with each Member to develop comprehensive wealth management solutions tailored to their goals. He is passionate about building relationships and being the financial expert Members can count on. He also is dedicated to helping his clients gain financial confidence so that they can live their best possible lives.
No matter their goals – saving for retirement, planning for college, or any other milestone – Mario is ready to help our Members every step of the way.
FINRA Licenses: Series 7, 66, – Life Insurance License: CA #0K26616
State Securities Licenses: CA
About Chris Carter
Having worked in the financial industry for over 16 years, with time spent as both a licensed private banker and a licensed relationship banker, Chris Carter joined Redwood Credit Union in 2018. Since then, he has served the San Francisco community – most recently as a Senior Member Relationship Specialist.
He enjoys developing strong connections with his clients as he learns about their future goals, thus allowing him to create tailored plans so they can effectively achieve their ambitions.
By building these ongoing relationships through preparation and accommodation, Chris is able to empower his clients to take hold of their financial journey and encourage them to stay proactive through all stages of life.
FINRA Licenses: Series 7, 66 – Life Insurance License: CA #0H17017
State Securities Licenses: CA
About Yadira Bravo
Having served as a licensed relationship banker since 2016, Yadira Bravo has seen firsthand the impact her financial services can have on her clients’ lives. As a financial advisor for Redwood Wealth Management, Yadira is constantly striving to learn and grow. Currently, she is pursuing a degree in Business Administration, allowing her to stay up to date on the most current financial trends and management techniques.
Yadira enjoys helping members set and achieve their financial goals. Whether it’s planning for retirement or saving for your child’s education, she will work with you to customize a plan that fits your individual needs. As a first generation Mexican-American, financial education is very important to her, and she looks forward to sharing her expertise with her clients and helping them build generational wealth.
FINRA Licenses: Series 6, Series 63, Life Insurance Licenses: CA #0L30933
About Natalie Gutierrez
Natalie Gutierrez has been a a dedicated member of the Redwood Credit Union team since 2021, where she’s held various positions, including Member Relationship Specialist and Investment Coordinator before assuming her current position as a Financial Advisor with Redwood Wealth Management. With prior banking experience, Natalie discovered her passion for helping the members of her community achieve their financial goals and has since been committed to making these aspirations a reality.
Natalie is known for her holistic approach to financial planning, emphasizing the importance of understanding clients’ unique needs and aspirations. She finds genuine satisfaction in crafting tailored solutions that drive her clients toward their goals. With a heart dedicated to community prosperity and a wealth of knowledge, Natalie is a trusted partner on the path to financial well-being.
FINRA Licenses: Series 7, 66 – Life Insurance License: CA #4313012
State Securities Licenses: CA, NV, OK
PPP Forgiveness Application Deadline
Congress passed The Economic Aid Act which changed the deferment period from 6 months post covered period to 10 months post covered period. For example, if your covered period ended June 30, 2021, under the new guidelines the earliest your first loan payment wouldn’t be due until April 2022, and you have until then to request forgiveness. Please use the following calculation to help you identify when your forgiveness will be due:
- PPP borrowers may select a covered period anywhere from 8 weeks to 24 weeks.
- RCU is automatically calculating your loan due date based on a 24-week covered period, if you intend on using a shorter covered period please inform us immediately as this will impact your due date.
- Your correct deadline will be reflected in your online banking account.
If all or part of your PPP loan is not forgiven, your first loan payment will be due the first of the following month after a decision is made by the SBA.
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