725 Fifth Avenue, 23rd Floor
New York, NY 10022

Vice President
Client Services Associate
Justin serves as a Client Service Associate at Dominari Securities.
In this role, he partners with advisors to deliver comprehensive wealth management solutions, oversee brokerage operations, and provide dedicated client support. He brings over three years of experience from UBS Financial Services, where he was responsible for all aspects of client relationships, including strategic advice, investments, banking, risk management, and succession planning strategies.
He graduated from Seton Hall University with a double major in Finance and Information Technology.
Justin holds FINRA Series 7 and 66 licenses, as well as New York Life Accident & Health certification.
Dominari Securities provides clients access to products and services offered through bank and non-bank affiliates.
Securities and Registered Investment Advisory Services offered through Dominari Securities, LLC, an SEC registered investment advisor and broker-dealer. Member, FINRA, MSRB and SIPC.
Securities, brokerage, investment advisory and other non-deposit investment products: Are not FDIC insured - Are Not Bank- Guaranteed - May Lose Value, Including The Principal Invested. Check the background of Dominari Securities and our investment professionals on FINRA’s Broker Check.
Check the background of Dominari Securities and our investment professionals on FINRA’s Broker Check.
We’re here to help you navigate the complexities of modern finance. Reach out today to begin a conversation that could shape your financial future.
725 Fifth Avenue, 23rd Floor
New York, NY 10022
(212) 393-4500
(800) 299-7618
info@dominarisecurities.com
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