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ADV Part 2B Brochure 6/29/2016
1. Global Financial Private Capital, LLC
Nathan J. Sadowski
Investment Advisor Representative
Pacific Excel Wealth Advisors, Inc.
2413 Webb Avenue Suite B
(510) 217-8125 Office
(510) 227-5931 Fax
nathan@pacificexcel.com
www.pacificexcel.com
Form ADV Part 2B
Brochure Supplement
June 29, 2016
Contact: Edward C. Bertelsen, Chief Compliance Officer
501 North Cattleman Road, Suite 106
Sarasota, Florida 34232
Tel: (941) 441-1635
This brochure supplement provides information about Nathan J. Sadowski that supplements the Global
Financial Private Capital, LLC brochure. You should have received a copy of that brochure. Please
contact Edward C. Bertelsen (ebertelsen@aviancecapital.com), Chief Compliance Officer if you did not
receive Global Financial Private Capital’s brochure or if you have any questions about the contents of
this supplement.
Additional information about Nathan J. Sadowski is available on the SEC’s website at
www.adviserinfo.sec.gov.
2. Educational Background and Business Experience
Nathan J. Sadowski (b.1982), President of Pacific Excel Wealth Advisors, Inc.
Education
B.S. Business Management, Menlo College, 2005
A.A. and A.S., Pasadena City College, 2002
Business
Global Financial Private Capital, LLC. (Nov.2014-Present):Investment Adviser Representative.
Privately owned company providing investment advisory services on a fee basis. $5.8 Billion under
management as of 12/31/2015
Pacific Excel Wealth Advisors, Inc. (Nov.2011-Present):President and Investment Adviser
Representative, providing financial advisory services on a fee basis.
Pacific Excel Financial & Insurance Services, Inc. (Nov.2011-Present):President and Insurance
Professional. Licensed as an independent insurance professional, providing financial and insurance products for
commissions.
Wellguard Insurance Solutions, Inc. (July 2010-December 2011):District Manager and Insurance
Professional. Licensed as an independent insurance professional, providing insurance products for
commissions.
Great American Financial Resources. Inc. (June 2008-July 2010): Insurance Professional. Licensed as a
captive agent, providing insurance products for commissions.
Bankers Life Inc. (Oct.2007-May 2008): Insurance Professional. Licensed as a captive agent, providing
insurance products for commissions.
NAI Capital Inc. (May 2006-Sept. 2007): Real Estate Consultant. Consulted with the developer of the
real estate projects, focused on developing strategies to achieve goals and objectives.
Expeditors International Inc. (Sept. 2005-April 2006): Finance Consultant. Improved business
operations in foreign and domestic operations, researching companies in multiple industries and advising a
Senior Consultant with several National Business operation improvements.
Disciplinary Information
Nathan J. Sadowski has not been the subject of any legal or disciplinary events requiring disclosure.
Other Business Activities
Pacific Excel Financial & Insurance Services, Inc. President and licensed Insurance Professional in the state of
California, Nathan J. Sadowski receives commissions, bonuses or other compensation based on the sale of
insurance products such as life insurance, long term care, fixed and indexed annuities.
Additional Compensation
In addition to collecting a fee for managing assets directly, Nathan J. Sadowski may also recommend suitable
insurance products for which he receives additional compensations. When recommending an insurance product
to a client, it is Nathan J. Sadowski who determines the suitability of the product for the specified client and the
insurance company in return compensates Nathan J. Sadowski rather than the client.
3. Supervision
The Registrant provides investment advisory and supervisory services in accordance with the Registrant’s
policies and procedures manual. The primary purpose of the Registrant’s Rule 206(4)-7 policies and procedures
is to comply with the requirements of Section 203(e)(6) of the Investment Advisor’s Act (“Act”). The
Registrant’s Chief Compliance Officer, Edward C. Bertelsen, is primarily responsible for the implementation of
the Registrant’s policies and procedures and overseeing the activities of the Registrant’s supervised persons.
Should an employee or investment adviser representative of the Registrant have any questions regarding the
applicability/relevance of the Act, the Rules thereunder, any section thereof, or any section of the policies and
procedures, he/she should address those questions with the Chief Compliance Officer. Should a client have any
questions regarding the Registrant’s supervision or compliance practices, please contact Mr. Bertelsen at (941)
441-1635.