Bryan Rumping
Investment Adviser Representative at Cetera Investment Advisers LLC
Professional summary
Compiled by AdvisorFinder from public regulatory records. This advisor has not provided a personal biography.
Bryan Rumping is an investment adviser representative with Cetera Investment Advisers LLC in St. Louis, MO, where they have been registered since 2025, the year they entered the securities industry. They have passed 3 industry qualification exams, including the Series 66 (combined investment adviser and state securities agent) and Series 7 (general securities representative). They are registered to provide investment advice in Missouri and Texas.
Office
Advisors at this office: 14
Branch office as filed with FINRA, counting current advisors in the directory who work there.
Registrations & licenses
- Investment adviser:
- Missouri, Texas
- Broker:
5 states and territories
Arizona, Colorado, Illinois, Missouri, Texas
Registration requirements vary by state and service. Contact the advisor's firm to confirm whether they can serve you.
Financial-firm registration history
Registration history as reported to FINRA, most recent first.
Reported employment history
Employment the advisor reported on their SEC/FINRA filings, as of October 8, 2026. It may not be a complete history.
- Mulligans Bar and GrillAug 2020 – Jul 2021Ellisville, MO
- Bellerive Country ClubMay 2022 – Aug 2022Ladue, MO
- Bellerive Country ClubNov 2022 – Jan 2023Ladue, MO
- FTL FinanceMay 2023 – Aug 2023St. Charles, MO
- Bellerive Country ClubNov 2023 – Jan 2024Ladue, MO
- Honey Baked HamDec 2021 – Jan 2022Ballwin, MO
- Renaissance FinancialJun 2024 – Aug 2024St. Louis, MO
- Bellerive Country ClubNov 2024 – Jan 2025Ladue, MO
- Western Illinois UniversityAug 2021 – Nov 2021Macomb, IL
- Western Illinois UniversityFeb 2022 – Apr 2022Macomb, IL
- University of Missouri - ColumbiaFeb 2023 – Apr 2023Columbia, MO
- University of Missouri - ColumbiaFeb 2024 – May 2024Columbia, MO
- UnemployedJan 2014 – Jul 2020St. Louis, MO
- Cetera Wealth Services, LLCFeb 2025 – no end date reportedEl Segundo, CA
- Cetera Investment Advisers LLCApr 2025 – no end date reportedSchaumburg, IL
Official records & sources
Data as of August 9, 2026 · Source: SEC IAPD & FINRA BrokerCheck
About Cetera Investment Advisers LLC
These details describe the firm overall. Individual advisors' services, clients, and fees may differ.
Fee arrangements the firm reports
- Percentage of assets under management
- Hourly
- Fixed fee
Arrangements the firm reports on its Form ADV; this advisor may not charge every fee listed. Estimated from the firm's Form ADV — individual terms may differ. Not a quote.
Services the firm offers
Advisory services, investment advisory services, custody services, insurance agency services, sweep programs, and retirement planning resources, along with access to registered and alternative investment products.
Client types the firm serves
Firm assets under management
$25B+
- Firm disclosures (Form ADV)
- No disciplinary history reportedVerify on SEC IAPD
- Advisors listed on AdvisorFinder:
- 10,459
- Offices listed on AdvisorFinder:
- 27
- Main office:
- Schaumburg, IL
- SEC file number:
- 801-20406
Counts reflect AdvisorFinder directory coverage, not necessarily the firm's complete network.
Form ADV data as of August 13, 2026
View full firm profileOther advisors at Cetera Investment Advisers LLC
Showing 12 of 10,459 in the directory
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This profile was compiled and published by AdvisorFinder as editorial content using publicly available information from the SEC's IAPD database and FINRA BrokerCheck. Bryan Rumping has not reviewed, approved, or endorsed this profile and is not responsible for its accuracy. Regulatory records change over time — always verify the current record directly on BrokerCheck or SEC.gov before making any decision. AdvisorFinder may be compensated for referrals generated through this page.
BrokerCheck data is used subject to the FINRA BrokerCheck Terms of Use. Found something inaccurate? Report inaccurate data and we will correct any error we introduced. Errors in the underlying BrokerCheck record itself are referred to FINRA, which maintains that record.
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