As the CEO of Level Four Group, LLC (Level Four), Jake is dedicated to building the firm of the future and driving its vision. Since forming Level Four in 2000, it has been his goal to disrupt the financial services industry and to lead and embrace change. Level Four has tasked itself with the mission of “changing the future of financial advice.” When many traditional firms were still focused on product sales and asset management services and only had limited ways to engage with financial professionals, Jake was focused on offering a truly fiduciary client experience. Today, Level Four’s clients have access to a diverse team of specialists focused on the delivery of independent financial advice, not exclusively nor dependent upon assets under management. This approach has allowed clients to receive objective and personalized financial advice.
In 2014, Jake led the merger with Top 20 CPA firm Carr, Riggs & Ingram, LLC to make one of the largest wealth management firms in the country. With 20 years of experience in the industry and 200 associates, Jake uses his expertise to build upon the rapid growth of the Level Four® companies.
Jake holds multiple Investment Advisor, FINRA, and Insurance licenses as he leads the Level Four group of companies.
Email: jtomes@levelfourfinancial.com
Phone: 866.834.1040
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Securities offered through Level Four Financial, LLC, a registered broker dealer and member of FINRA/SIPC. Advisory services offered through Level Four Advisory Services, LLC, an SEC-registered investment adviser. Insurance services offered through Level Four Insurance Agency, LLC. Level Four Financial, LLC, Level Four Advisory Services, LLC, and Level Four Insurance Agency, LLC are independent entities. | Disclosures | Representative Email Access
Level Four Group, LLC is a division of CRI Capital Group, LLC, a subsidiary of CRI Advisors, LLC. “CRI" is the brand name under which Carr, Riggs & Ingram, L.L.C. (“CPA Firm”) and CRI Advisors, LLC (“Advisors”) and its subsidiary entities provide professional services. CPA Firm and Advisors (and its subsidiary entities) practice as an alternative practice structure in accordance with the AICPA Code of Professional Conduct and applicable law, regulations and professional standards. CPA Firm is a licensed independent CPA firm that provides attest services to its clients, and Advisors and its subsidiary entities provide tax and business consulting services to their clients. Advisors and its subsidiary entities are not licensed CPA firms.