Click on your region below to meet the Consultants who will be your point of contact. Scroll down below the map to meet our administrative teams.
Get to Know the Corporate Headquarters
Branch Office Administrative Teams

Gregg Johnson
Senior Vice President, Branch Office Development
Phone: 800-747-6111 ext. 1002
Email: Click Here
Gregg joined Securities America in 2006, having previously been with First National Investments & Planning where he served as Vice President and founder of the Omaha-based bank’s investment management program. Prior to that he was a financial planner and advisor. Gregg has extensive experience with training, coaching and branch building, and utilizes those skills in helping independent advisors discover opportunities for growth with Securities America.
As Director of Branch Office Development, Gregg leads an experienced team whose role is to assist prospective representatives with evaluating Securities America’s programs and services, and how we might aid them in meeting their business goals. Additional department strategies are to grow Securities America’s representative branch network, and to continue expansion into the Financial Institution marketplace.
Gregg monitors how we coach and train new advisors via transition, and reviews the programs and support that enhance the service we provide to the registered representatives and advisors of Securities America. Gregg received his MBA from Creighton University, and his Bachelors in Business Administration from Morningside College. He holds the Series 7, 24, 63 and 66 securities licenses as well as Life and Health Insurance licenses.

Sam Briganti
Director, Branch Office Development Support and Transition
Phone: 800-747-6111 ext. 7128
Email: Click Here
Sam has been with Securities America since 1997. In that time he has held leadership roles in several key departments: Operations, Transition and Branch Office Development. Sam has participated in various leadership development, coaching and consulting processes. He utilizes this gained expertise to manage an exceptional team of sales and business consultants. Sam also participates in various corporate and departmental improvement projects, and is involved with planning activities relating to Mergers and Acquisitions.
The Branch Office Development Support and Transition teams are primarily responsible for the financial professional on-boarding processes. Sam facilitates a committee centered on the advisor experience at Securities America, whose focus is to utilize advisor feedback and dynamically create the best possible user experience.
Sam is a former Securities America Employee of the Year and holds his Series 7 industry licenses.

Michael Belluomini
Associate Vice President – Relationship Management and Branch Sales
Phone: 800-747-6111 ext. 7105
Email: Click Here
Michael utilizes his extensive consulting experience and exceptional communication skills by working with our largest branches to help them achieve sales and recruiting goals. He also manages our Advisory Council group and oversees the advisor retention process.
Prior to his role with the Branch Office Development department, Michael was a Securities America’s Practice Management Consultant. Utilizing coaching and consulting, he helped advisors develop more profitable and satisfying practices. Michael feels that Securities America is the perfect fit for advisors wanting to take their practice to the next level: “As business growth experts, Securities America has many proven practice management, wealth management and asset management programs already in place to help our advisors excel.”
Michael has a B.A. in Political Science and an M.A. in International Relations from Creighton University. He holds the Series 7 industry licenses.

Charles Dinnel
Relationship Management Consultant
Phone: 800-747-6111 ext. 7103
Email: Click Here
As a Relationship Management Consultant, Charles works closely with some of Securities America’s top branches, as a partner in their success. His focus is on fostering lasting relationships that encourage the growth of each branch in their own unique way. With over five years in the industry, as well as prior experience in Securities America’s Representative Relations department, he is keenly focused on customer service and works hard to ensure that any challenges our advisors face are satisfactorily resolved. His current role allows him to leverage the many relationships he’s established throughout the company in order to produce positive results.
Charles believes that Securities America’s dedication to Extraordinary Service, Leadership in Technology and Practice Management offerings, when paired with our Midwest work ethic and values, results in a home office environment that truly cares about the success of our advisor’s business. He knows that if we don’t have an answer, we’ll research that item until we find the solution, all the while keeping our advisors “in the loop.” He feels that by joining Securities America, you gain a true partner in your success.
Charles enjoys spending free time with his wife and daughter, as well as playing competitive golf on the Nebraska Amateur circuit. When time allows, he also cooks competitively with his BBQ team in local competitions.
The Financial Institutions Team

Tim Militti
Regional Vice President, Branch Office Development
Phone: 800-747-6111 ext. 7100
Email: Click Here
Tim has been in the Financial Services industry for three decades, and is focused on expanding our Independent model within Financial Institutions. Tim has an extensive background in Bank Management and Retail financial sales. He has held senior positions such as Director of Lending (at Commercial Federal Bank) and Sales Manager (at First National Bank of Omaha).
Tim holds the FINRA series 7, 63, and 24. He is a graduate of the University of Nebraska, Omaha with a BA in English. Tim and Katie, his wife of 27 years, have four children.

Rian McGill
Branch Office Associate Consultant
Phone: 800-747-6111 ext. 7109
Email: Click Here
Rian's background is in the banking and insurance industry, and he currently works with Tim Militti in supporting prospective Financial Institution clients. He graduated from the University of Nebraska with a BSBA in Finance and Economics, and heís currently pursuing his MBA from the University of Nebraska at Omaha.
Rian says, "I feel that one of Securities Americaís strengths is that we allow representatives to be truly independent, with no proprietary products to push. We are the advisor's partner in growth, and can provide them with the tools to become even more successful."
Rian holds the Series 6 and 63 industry licenses, as well as health and life licenses. In his spare time, Rian enjoys sports.





