The Bensman Group


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* Securities offered through Registered Representatives of NFP Securities, Inc., A Broker/Dealer and Member FINRA/SIPC.

** Investment Advisory Services offered through Investment Advisory Representatives of NFP Securities, Inc., a Federally Registered Investment Advisor. NFP Securities, Inc. is not affiliated with The Bensman Group.

The Bensman Group, Bensman Associates Ltd., Bensman Risk Management, Inc. or Schemata, L.L.C. are not a Registered Investment Advisor.

This site is published for residents of the United States only. Registered representatives and investment advisor representatives of NFP Securities, Inc. 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 the NFP Securities, Inc. Compliance Department at 512-697-6000.




Rob Jevens, Estate and Business Markets
rjevens@bensman.com
847.572.0858

Rob joined The Bensman Group in 2007 with 13 years of experience in the financial services industry. Rob's specialty is working with public and privately held corporations, financial institutions and high-net-worth individuals in the areas of Wealth Transfer, Business Continuation, Business Succession and Corporate Benefit strategies.

Rob's mission is to understand each client's unique concerns and planning issues by engaging his clients in a thorough discovery process. He is committed to working in concert with the client's advisory team to help develop integrated and custom designed financial and risk-management solutions. Rob's objective is to develop long-term, interpersonal relationships with his clients and fellow advisors.

Experience
Prior to The Bensman Group, Rob was a consultant with TCG, a national firm specializing in the design, implementation and administration of Nonqualified Executive Benefit Programs and Bank Owned Life Insurance to large corporations, regional and community banks.

In addition, he served as Relationship Manager, Estate and Business Markets with MB Financial Bank - Wealth Management Division. There he provided financial solutions to large commercial loan customers to help them improve credit (loan) risks by mitigating estate tax and business continuation issues. Prior to MB, Rob worked for seven years in private practice with Northwestern Mutual Life (insurance and investments) with operations in Los Angeles and Chicago.

Education and Professional Designations
California State University Long Beach
B.S. Engineering

The John Marshall Law School
Audited classes in the LL.M. Program in Employee Benefits

The Wharton School, University of Pennsylvania
Enrolled in the Certified Employee Benefit Specialist program (CEBS)

Personal
Rob resides in Chicago and enjoys fitness, league sports, travel, philanthropy, community activities, golf, sailing and continuing education. He is also a founding member and Vice President of the Chicago Area Kappa Sigma Alumni Association (mentoring and philanthropic fraternity alumni organization).



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