Richard Aronwald

Richard Aronwald

973-215-2013

raronwald@cfsllc.com

Richard began his career in the financial services industry in 1986, shortly after earning his Bachelor of Science in Business Administration (BSBA) with a concentration in Accounting and Finance. Even while attending college, he demonstrated his early commitment to the profession by completing a financial services internship and obtaining his NASD Series 7 registration.

Today, Richard is a Financial Professional with The Guardian Life Insurance Company of America, where he brings nearly four decades of experience and leadership to his clients. He represents nearly every major life insurance company in the U.S and currently manages $1.5 billion in life insurance coverage. His mission has always been rooted in one core principle: putting his client first.

This dedication has earned Richard widespread recognition. He has consistently qualified for Guardian’s prestigious President’s Council and currently ranks among the top 1% of Guardian professionals nationwide. In 2019, he earned one of the company’s highest honors: induction into Guardian’s Hall of Fame. Notably, Richard was only the 20th inductee in Guardian’s 160-year history—and the youngest ever to receive this distinction.

Richard is widely regarded in the industry as a thought leader in Wealth Coordination and Asset Protection. He is known for developing custom-tailored financial strategies that help clients pursue success across a wide range of economic environments. In addition to serving his own clients, Richard regularly consults with financial and insurance professionals nationwide, offering his expertise on complex, high-level client cases.

Whether working with individuals, families, or fellow professionals, Richard’s strategic insight, decades of experience, and unwavering commitment to client success make him a trusted and influential voice in the financial services industry across the country.

* BrokerCheck will show the financial representative’s current licensing status, including any licenses they hold or have held in the past. Per FINRA, without a General Securities Representative license, a Financial Professional cannot engage in the securities business, including the solicitation, purchase, and/or sale of securities products.

**Death Benefit as of 3/13/25.