About Us

About Craig Snavely

Craig has 37 years of experience in the Insurance and Financial Services industry. He started Snavely Financial Group almost 6 years ago with one goal in mind: to help protect your most cherished assets. He does this by providing insurance and financial planning for individuals, families, and small business owners. His financial partners provide expertise in their fields to provide a "TEAM" approach in servicing your needs and goals. Snavely Financial Group is an independent agency representing their clients by offering many top rated insurance and financial companies that tailor to you.
We consider everything you own an investment worth protecting. That includes your family, your home, your business and your way of life. Life is full of the unexpected. Whatever happens, you can trust Snavely Financial Group to help you plan for it. Because we believe if you have a plan for everything, nothing can catch you off guard.

Craig has earned the following professional certifications:

ChFC®–Chartered Financial Consultant

Those with the ChFC® designation have been prepared to meet the advanced financial planning needs of individuals, professionals and small business owners. The required course of study includes insurance and financial planning, income taxation, planning for retirement needs, investments, and estate planning.

CLU®–Chartered Life Underwriter

CLU® stands for Chartered Life Underwriter and is awarded by The American College. The course of study involved in this designation provides in-depth knowledge on the insurance needs of individuals, business owners and professional clients.

CASL®–Chartered Advisor for Senior Living

The CASL® provides Advisors with knowledge to lead clients from middle age through retirement and assist them with the management, preservation and transfer of wealth

Designees must then pass a series of written examinations as well as attest and adhere to the The American College’s Code of Ethics. In addition, the designee is required to complete 30 hours of continuing education every two years through The American College.

Check the background of this financial professional on FINRA’s BrokerCheck