NCA Financial Planners |
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Kevin H. Myeroff
Phone: (440) 473-1115 ext. 200
Kevin H. Myeroff**, CPA, CFP is Chief Executive Officer and President of NCA Financial Planners, an independent, full-service financial planning firm based in Cleveland, Ohio. Kevin was born and raised in Northeastern Ohio and currently resides with his wife and 3 children in Chardon, Ohio. He has spent twenty-five years in Cleveland-area business and finance. After receiving his formal education in Accounting at Ithaca College in New York, he began his career with one of the “Big Four” accounting firms in Cleveland. After three years in public accounting, Mr. Myeroff joined NCA Financial Planners as a financial advisor and became Chief Executive Officer and President in 2000.
To his credit, Mr. Myeroff released his first book in 2001 titled, “Countdown to Retirement.” For the past seven years, Barron’s magazine has recognized him on their listing of America’s 100 Top Financial Advisors and in 2008 & 2009 was ranked the #1 Independent Financial Advisor in Ohio¹. He has also been named six times by Worth magazine.
Mr. Myeroff appears weekly as the Financial Commentator on NBC affiliate WKYC-TV Channel 3 News and WTAM 1100’s Wills & Snyder morning radio program. He is also featured monthly on Q104’s Wilde & Fee morning radio show and is often quoted in local newspapers such as The Plain Dealer and The News-Herald.
On a day-to-day basis, Mr. Myeroff provides investment management, retirement planning, estate and tax planning services to a broad range of professionals and retirees. His experience, technical expertise and leadership have made NCA Financial Planners one of the premier financial planning firms in the country in terms of quality counsel, client satisfaction and attainment of clients' personal financial goals.
(1) The “Barron’s Winner’s Circle Top 100” is a select group of individuals who are screened on a number of different criteria. Among factors the survey takes into consideration are the overall size and success of practices, the quality of service provided to clients, adherence to high standards of industry regulatory compliance, and leadership in “best practices” of wealth management. Portfolio performance is not a factor. To remain completely independent and objective, The Winner’s Circle does not receive compensation from financial advisors, the participating firms or its affiliates, or the media, in exchange for ranking. Please see www.wcorg.com for more information.
These rankings and awards may not be indicative of future performance. Working with a highly-ranked advisor does not ensure that a client or prospective client will experience a certain level of performance or results. These rankings should not be construed as an endorsement or the advisor by any client nor are they representative of any one client’s evaluation
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6095 Parkland Blvd., Suite 210 Phone: (440) 473-1115 |

The advisors of NCA Financial Planners are Registered Representatives of and offers securities products & services through Royal Alliance Associates, Inc. Member FINRA/SIPC, a registered broker-dealer. In this regard, this communication is strictly intended for individuals residing in the states of AL, AR, AZ, CA, CO, CT, DC, DE, FL, GA, IL, IN, KS, KY, LA, MA, ME, MD, MI, MN, MO, MS, MT, NC, NH, NJ, NY, OH, OK, OR, PA, RI, SC, TN, TX, UT, VA, VT, WA, WI and WVA. No offers may be made or accepted from any resident outside the specific state(s) referenced.
Financial Planners of Cleveland, Inc., conducting business as NCA Financial Planners, is a registered investment advisor registered with the SEC. Financial Planner of Cleveland Inc. and NCA Finacial Planners are not affiliated with Royal Alliance Associates Inc.
IMPORTANT CONSUMER INFORMATION: A broker-dealer, investment adviser, BD agent, or IA rep may only transact business in a state if first registered, or is excluded or exempt from state broker-dealer, investment adviser, BD agent or IA rep registration requirements, as appropriate. Follow-up, individualized responses to persons in a state by such a firm or individual that involve either effecting or attempting to effect transactions in securities, or the rendering of personalized investment advice for compensation, will not be made without first complying with appropriate registration requirement, or an applicable exemption or exclusion.
For information concerning the licensing status or disciplinary history of broker-dealer, investment adviser, BD agent, or IA rep, a consumer should contact his or her state securities law administrator.