Mark R. Elliott, J.D.

Managing Director




Mark joined NFP Insurance Solutions as Managing Director with 30 years of Wealth Management experience comprised of both the practice of law and as an ultra-high net worth private client advisor for some of the country’s best investment firms.


In his law practice, Mark focused on asset protection, estate planning, business succession planning, and other related subject matters affecting wealth and wealth transfer of business owners and ultra-high net worth individuals.


Mark’s work in the investment management arena included affiliations with Credit Suisse, Bernstein, and Northern Trust. In these roles, he worked in all areas of the capital markets including hedge funds, private equity, and structured products while also bringing to bear a holistic and comprehensive approach to estate planning.


The culmination of this background serves as the foundational base for the provision of consultatively delivered insurance-based solutions for individuals, families, businesses, trusts and estates, succession planning, wealth transfer, and asset protection.


Mark’s educational background includes graduate work at Northwestern University and a Master's degree from the University of Chicago. He is a licensed attorney in the states of Illinois and Georgia and holds Life, Health, Property, and Casualty Insurances licenses.

  • Black LinkedIn Icon

Insurance services provided by SBSI, Inc.

Securities may be offered through Kestra Investment Services, LLC (Kestra IS), member FINRA/SIPC. Investment Advisory Services may be offered through Kestra Advisory Services, LLC (Kestra AS). NFP Insurance Solutions is a marketing name and platform used by affiliated and nonaffiliated companies, including but not limited to SBSI, Inc., using the services of NFP Insurance Services, Inc. (NFPISI), a subsidiary of NFP Corp.  PartnersFinancial is a division of NFPISI. Kestra IS and Kestra AS are not affiliated with SBSI, Inc. or NFP Corp. Kestra IS, Kestra AS, and NFP Corp. and its subsidiaries do not provide tax or legal advice and are not Certified Public Accounting (CPA) firms. Not all professionals listed on this site are licensed to offer securities or Investment Advisory Services. Investor Disclosures 

This site is published for residents of the United States only. Registered Representatives of Kestra IS and Investment Advisor Representatives of Kestra AS may only conduct business with residents of the states and jurisdictions in which they are properly registered. Therefore, a response to a request for information may be delayed. Not all of the products and services referenced on this site are available in every state and through every representative or advisor listed. For additional information, please contact our Compliance Department at 844-553-7872.