Contact a Financial Advisor

Consultation Request

To ask a question fill out the form below and we will reach out to you shortly.

Select a Financial Advisor

Howard GolickLPL Financial Advisor

73 Mountainview Boulevard
Basking Ridge, NJ 07920

View Bio

Howard Golick has nearly 25 years of financial services experience.  He is a Registered Representative of LPL Financial and has served Affinity for over 20 years. 

Howard partners with members to develop a comprehensive portfolio tailored to their individual financial goals.  He educates his clients on balancing potential risks with rewards, to help them work towards their short and long-term objectives. Through Howard’s deep knowledge and overall experience, he assists clients with developing a unique and concise financial plan, which addresses all stages of life.  

Howard holds the Series 7, 63 and 65 registrations through LPL Financial, in addition to a life and health insurance license.

Check the background of this investment professional on FINRA Broker Check

Your Contact Information:(*Required)

1Securities and Advisory services offered through LPL Financial, a Registered Investment Advisor, Member FINRA/SIPC. Insurance products offered through LPL Financial or its licensed affiliates.
Not NCUA Insured - Not Credit Union Guaranteed - May Lose Value. Affinity Federal Credit Union and Affinity Investment Services are not registered broker/dealers and are not affiliated with LPL Financial. LPL Financial does not provide tax or legal advice.

Important Consumer Information:
This site is for informational purposes only and is not intended to be a solicitation or offering of any security and;
1. Representatives of a broker-dealer ("BD") or investment advisor ("IA") may only conduct business in a state if the representatives and the BD or IA they represent (a) satisfy the qualification requirements of, and are approved to do business by, the state; or (b) are excluded or exempted from the state's licensure requirements.
2. Representatives of a BD or IA are deemed to conduct business in a state to the extent that they provide individualized responses to investor inquiries that involve (a) affecting, or attempting to affect, transactions in securities; or (b) rendering personalized investment advice for compensation.