Our Firm

Eastman Financial Management is an independent financial planning and wealth management firm dedicated to serving individual and small business clients. The firm was founded to serve a vital need; to deliver completely independent and objective financial advice along with quality client service.  Their goal is to provide clients the knowledge, wisdom, and guidance to work towards their life's financial goals.

The firm's founder, Joel E. Lorden, and associates are CERTIFIED FINANCIAL PLANNER (TM) professionals, the highest credential in the financial planning field. Clients can be confident in their knowledge, integrity, and experience. Furthermore, all financial plans and strategies are thoughtfully and carefully developed only after taking the time to understand and appreciate the client's goals and objectives.

Their independence and fee-based approach helps ensure their advice and analysis will be objective, unbiased, and free from the conflicts of interest inherent in many other financial institutions. Furthermore, they are Investment Advisor representatives, held to the highest fiduciary standards. The best interests of each client are always first and foremost.

Attention to detail, a commitment to excellence, and disciplined financial planning processes are just three attributes that distinguish Eastman Financial Management from their peers.

Through their strategic relationships with the global leaders in financial services, they can access the best resources to help achieve their client's goals. Above all, they adhere to the highest standards of professional excellence, ethics, honesty and trust.

Whether you are an individual or a small business, Eastman Financial Management can help you work towards your financial goals, leading to a higher level of personal fulfillment and prosperity.




**Securities offered through Multi-Financial Securities Corp. (MFSC), member FINRA and SIPC. * Joel E. Lorden is a registered representative of MFSC. Eastman Financial Management is an independent financial planning and wealth management firm and is not affiliated with MFSC.



Securities and advisory services offered through Multi-Financial Securities Corporation, member FINRA, SIPC.

The registered representative(s) and/or investment adviser representative(s) listed on this website are licensed and registered in the following states:

We are licensed to sell Insurance Products in GA,OK,TX.

We are registered to sell Securities in GA,OK,TX.

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