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Huntwicke Securities Leadership Team
The Huntwicke Securities team works together to deliver value to our clients. Collectively, we have over 75 years of experience, including 40 years of investment management experience, comprehensive investment advisory capabilities and proven executive management experience.
Brian Woodland
Brian Woodland is the President, Principal and Chief Compliance Officer of Huntwicke Securities. He has specialized in managing portfolios for individuals and small institutions for his entire career and has worked closely with trading desks, research analysts, and buy-side portfolio managers. Mr. Woodland began his career with Winthrop Securities in 1992. In 1993, he joined Olde Financial and became an Assistant Branch Manager. He later joined Cowen & Company in 1996, as a Vice President in the Private Client Group, working with small institutions and private clients.
Mr. Woodland joined the Boston branch of Salomon Smith Barney as a Senior Vice President of Investments in 2000. During his time there he managed portfolios for individuals, small institutions, and advised small institutional clients of the firm. Mr. Woodland left Smith Barney in 2006 to start Huntwicke Advisors, LLC. In 2008, he founded and became President of Huntwicke Securities, LLC.
Mr. Woodland holds FINRA Series 7, 8, 22, 24, 63 and 65 licenses.
Fernando Garcia
Fernando Garcia serves as the Compliance Officer, the AML Supervisor and the Principal Operations Officer of Huntwicke Securities.
He joined Huntwicke Securities in 2016 as a principal. He is charged with assisting firmwide compliance including supervision of registered representatives, due diligence, AML testing and written supervisory procedure implementation.
Mr. Garcia joined Huntwicke Securities after working at Sentinel Benefits and Financial Group for the Investment operations group. Prior to Sentinel he worked for two agro-industrial businesses located in Colombia and Panama. He graduated from Bentley University with a degree in Finance and completed his MBA at Hult International Business School.
Mr. Garcia holds FINRA Series 7, 24, 63 and 99 licenses.
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