JERRY MURPHY
Managing Partner / MFA
Jerry Murphy joined The Legacy One Group as a Managing Partner in March 2018 and also serves as the Managing Financial Advisor (MFA). He holds FINRA Series 7, 9/10, 14, 24, 63 and 66 licenses.
From 2011 to 2017, Jerry led Atlanta, GA-based FSC Securities Corporation as its President and Chief Executive Officer. Jerry was responsible for driving strategic initiatives aimed at supporting the firm's 1,100-plus advisors across the United States and also recruiting new advisors to the broker-dealer. He joined AIG Advisor Group in 2005 and served in a variety of roles, including Executive Vice President of AIG Advisor Group. In this position he played an integral part in a number of advisor-centric enhancement initiatives, partnering with colleagues in business units across the AIG Advisor Group network to provide advisors with solutions designed to grow their practices and better serve their clients. Prior to joining AIG Advisor Group, he was a senior executive at Janney Montgomery Scott, where he worked closely with advisors and was a member of a number of business-focused committees. Prior to moving into the broker-dealer space, Jerry was director, Policy and Practice Team for the NASDAQ Stock Market, where he led the team charged with assuring the integrity of companies listed in the marketplace.
Jerry received his J.D. from Catholic University, Columbus School of Law, and his B.S. in Accounting from Mount Saint Mary's College. He is a member of the Pennsylvania bar and District of Columbia bar and holds CPA license in Maryland although is currently inactive.