Our Firm
Our Firm
Burkemper Group is a full-service financial firm committed to helping people achieve their financial goals. Our firm is completely independent, so our loyalty belongs exclusively to our clients - not to a parent company.
Our independence enables us to establish working relationships with a number of industry-leading investment and insurance providers whose products we leverage to create customized client portfolios. As Advisors, and not as salesmen, we recommend only those products and services that can be tailored to suit our clients' unique needs and objectives.
By providing sound and appropriate financial information, we believe you will be better able to identify your goals and make the necessary decisions to reach them.
Most importantly, at Burkemper Group, we believe in listening to you, first and foremost. We are not salesmen. We are advisors. The only way to advise you is to learn about who you are and where you want to go. Once those facts are established, we can advise you on how to find the best road to arrive at your retirement dreams safely.
Our Qualifications

Paul Burkemper, President
Paul Burkemper has passed many industry-relevant exams including General Securities Representative, General Securities Principal, Uniform Securities Agent State Law and Uniform Combined State Law. Paul is also Insurance Licensed in Missouri and Illinois.
Paul Burkemper is an Elite IRA Advisor* and is part of Ed Slott's nationally recognized team of professionals who have dedicated their practices to helping retirees defuse the IRA Tax Trap. As an Elite IRA Advisor, Paul has focused several years of his professional education to learning how to better help his clients plan for a safe, worry-free retirement. Burkemper Group is a member of the Better Business Bureau (BBB) and the Crestwood-Sunset Hills Area Chamber of Commerce.

Paul Burkemper is a member, in good standing with the National Ethics Bureau (NEB). In today's financial world, trust is a must. Now, more than ever, there is an increased need to know who you can trust in the financial services industry. By choosing an approved member of the National Ethics Bureau, you will gain the added assurance of knowing that you are working with an advisor who has successfully passed the Ethics Check System, a comprehensive series of background checks.

To contact them and check on our advisors or your other financial advisors, visit their website at www.ethicscheck.com or call them at (800) 282-1831.
We also offer complimentary consultations in our office with an Elder Law Attorney who has been practicing for over 25 years and a Certified Public Accountant with over 20 years experience in the industry.*

Bob Lallinger, C.P.A. Thomas C. Croft, Attorney at Law
With all these professionals available to you, we are able to help you effectively plan your retirement.
Our Services
We offer these comprehensive retirement planning services:
IRA and 401K Distribution Strategies
Tax Reduction Strategies
CPA* & Income Tax Preparation
Elder Law Attorney* Services
Pension & Retirement Plans
Estate Planning & Preservation
CD & Money Market Accounts
Annuities
Life Insurance
Long Term Care
401K & IRA Rollovers
Securities Brokerage
Please call us at (314) 822-4440 if you have any questions about our firm or the range of financial products and services we provide.
Members of Ed Slott’s Elite IRA advisory group have paid a fee to attend a seminar regarding IRA’s take yearly exams to stay up to date on IRA topics. It does not qualify a financial professional to give investment advice. NPC does not endorse the Ed Slott Elite IRA Advisor Group.
*Both Bob Lallinger and Thomas Croft are independent professionals and not NPC Representatives, who have agreed to meet in our office with our clients and those interested in our services.
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