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BURCH & CO., INC. is a licensed securities broker/dealer which was formed in 2000. We are registered with the Securities and Exchange Commission (SEC), Financial Industry Regulatory Authority (FINRA), and Securities Investor Protection Corporation (SIPC). Burch & Co. is registered to conduct business in all 50 states.

   

   

A. Randal Burch

President

MR. A. RANDAL BURCH
President

Mr. Burch has been in the securities industry for over 30 years. He has experience both as a regulator and as a managing principal operating a broker/dealer in the securities industry. Mr. Burch began his career with the National Association of Securities Dealers, Inc. (NASD), where he served as the Supervisor in District 04 and Assistant Director in District 09 for over 11 years. For the past 20 years, Mr. Burch has owned and managed a registered broker/dealer. In 1999, the brokerage firm he had owned and developed over 17 years with 200 agents and 70 branch offices was acquired by H&R Block.  Mr. Burch currently holds the following licenses:  Registered Representative (Series 07), General Securities Principal (Series 24), Registered Option Principal (Series 04), the Financial and Operations Principal (Series 27), Investment Banking (Series 79), and the State Law Exam (Series 63). He has a Bachelor of Science in Business Administration from Kansas State Teachers College of Emporia and currently resides in Kansas City, Missouri.

   

   

Jessica B. Pastorino

Vice-President

Jessica B. Pastorino
Vice-President, Chief Compliance Officer

Jessica has been in the securities industry since 2006, holds her Series 79, 24, 22, 62, 39 and 63 licenses and is a licensed Real Estate Agent in the state of Missouri. Ms. Burch completed FINRA’s Compliance Boot Camp Program in 2007.  Aside from compliance supervisory responsibilities within the firm, Ms. Burch leads efforts to expand Burch & Company’s presence within the M&A Community. Ms. Burch graduated from California State Long Beach, majoring in English, with an emphasis in Creative Writing. She is currently striving to break 100 on the golf course.

   

   

Kara Jett

Compliance Officer

Kara Jett
Compliance Officer

Kara has been in the securities industry for 20+ years, holds her Series 79, 24, 7, 9, 10, 63 and Variable Life & Health licenses. She joined Burch in 2010. When she is not performing her compliance supervisory responsibilities at Burch, Kara spends time with her family which consists of a "land-locked” surfer dude husband and two great teen-agers who keep her very busy.

   

   

George Lange

Compliance Officer

George Lange
Compliance Officer

George has been securities licensed for over 30 years. He currently holds Series 7, 79, 24, 4, 27, 9, 10, 63, 55, Variable Life and Health licenses. George began compliance consulting for Burch in 2010. He spends his leisure time hiking, backpacking and enjoying his expanding family of grandchildren.

   

   

Jenifer Burch

Office Manager

Jenifer Burch
Office Manager

Jenifer serves as Office Manager for Burch. Jen supports our team with firm requirements and manages the day to day operations of our office. She also assists our new reps during the registration process. Jen can be found volunteering, playing volleyball and having fun with her two energetic kids and husband.

   
   
 

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