We've Been Helping People Plan Their Financial Futures for Over 50 Years

FINANCIAL PLANNING

ESTATE PLANNING

INVESTMENTS

QUALIFIED PLANS

COLLEGE FUNDING

CHARITABLE GIVING

WEALTH PLANNING

INSURANCE LONG-TERM CARE

Fiduciary Advisor

As independent investment advisor representatives with specific licenses, we are held to a strict fiduciary duty. This means we are required, by law, to act in the best interest of our clients at all times.

A CFP® professional is an individual who has a demonstrated level of financial planning technical knowledge, experience in the field and holds to a client-centered code of ethics.

BrokerCheck is a free tool to research the background and experience of financial advisers and tells you instantly whether a person or firm is registered, as required by law, to sell securities (stocks, bonds, mutual funds and more), offer investment advice or both

Meet Your Financial Services Team

Mark I. Conway, GRI, CRS, CFP®

Mark R. Conway "Jr."

Brent F. Hayes

Brittany B. Smith

Amanda Tyndall

Matt Worthington

We start from a comprehensive financial plan and develop a combination of interrelated financial strategies appropriate for each client.

Everyone's Life Path is Unique

Personalized planning for individuals, families, professionals, and business owners.

Individuals and Families

Maximizing and Protecting Your Wealth.

You’re a provider and that means more than just working to provide for the here and now. You need a plan to help grow and maximize your wealth, and if things don’t go as expected, you and your family are protected from the occasional storm.

Employers

Every Great Company Takes Good Care of its Employees.

The employee benefits world is evolving, and anyone not willing to embrace the changes may be left behind. Many employee benefits brokers and consultants are stuck in the past and failing to keep up with this evolution.

Pre-Retirees & Retirees

Cultivating Your Future Financial Freedom.

With our hectic, bustling schedules always pulling at our attention, the future often takes a backseat to every current obligation and desire. A well-crafted financial plan will highlight the need to look beyond the now and help ensure your quality of life up to and through retirement.

Securities are offered through Cambridge Investment Research Inc., an independent broker/dealer, member of FINRA, SIPC. We have no quotas to fill or proprietary products to recommend, so we can select financial products and services from some of the most well known financial firms available.

We've Been Helping People Plan Their Financial Futures for Over 50 Years

Mark R. Conway “Jr.”, and Mark I. Conway

Contact Conway Financial Services

Address
2914 North Heritage St.
Kinston, NC 28501

Phone

252-522-3191

Fax

252-522-4191

    At Conway & Co., we take planning and managing our clients' assets very seriously. We deliver advice that resonates, solutions that fit, and a team with specific knowledge to help you with your financial planning, insurance, realty, and property needs.

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    Securities offered through Cambridge Investment Research Inc. (CIR), Broker/Dealer, Member FINRA/SIPC. Advisory Services through Cambridge Investment Research Advisors, Inc., a Registered Investment Advisor. Non-Security products and services are not offered through CIR. Coldwell Banker/Conway & Co. Real Estate, Conway & Co. Property Management, Conway & Co. Financial Services, Conway & Co. Insurers and Financial Research Associates are not affiliated with CIR.

    Mark I. Conway is licensed to sell securities in NC, FL, MD, IN, TN, WA, SC and VA. Mark R. Conway is licensed to sell securities in NC, VA, FL, and IN. Brent F. Hayes is licensed to sell securities in NC. This website should not be considered a solicitation in any other state.

    ©2020 Conway & Co.

    Cambridge’s Form CRS (Customer Relationship Summary)