STEVEN JAY KURYLA

STEVEN JAY KURYLA is currently employed as a Broker and/or Investment Adviser at VOYA FINANCIAL ADVISORS, INC. located at 1775 HARDIN LANE, POWELL, OH, 43065.

STEVEN JAY KURYLA has worked at VOYA FINANCIAL ADVISORS, INC. since October 02, 2013

Disclosure History

STEVEN JAY KURYLA has 2 Disclosure Event(s).

Date: March 13, 2006
Category: Customer Dispute
Allegations: CLIENT ALLEGES UNSUITABLILITY IN THE SALE OF MUTUAL FUND CLASS B SHARES. FUNDS WERE PURCHASED IN MARCH 2000.
Broker Comment: CLIENT DOES NOT ALLEGE A SPECIFIC DAMAGE AMOUNT IN HIS COMPLAINT, BUT THE FIRM EXPECTS DAMAGES TO EXCEED $5,000.THE CLIENT'S ALLEGATIONS WERE INVESTIGATED AND FOUND TO BE WITHOUT MERIT.

Date: January 19, 2005
Category: Customer Dispute
Allegations: CLIENT ALLEGES HE WAS CHARGED A SURRENDER CHARGE WHEN HE WITHDREW MONEY FROM HIS VARIABLE ANNUITY. CLIENT ALLEGES HE WAS NOT INFORMED OF THE CHARGES AND ALLEGES DAMAGES OF $5,000.00. VARIABLE ANNUITY WAS PURCHASED IN OCTOBER 2003. WITHDRAWAL TOOK PLACE IN 2004
Damage Amount Requested: $5,000.00

More Information

All individuals registered to sell securities or provide investment advice are required to disclose customer complaints and arbitrations, regulatory actions, employment terminations, bankruptcy filings and criminal or civil judicial proceedings.

A disclosure includes information about customer disputes, disciplinary events and financial matters on the broker's record as reported by securities regulators, the individual broker, and any involved firms. Some of these items may involve pending actions or allegations that have not been resolved or proven. The presence of a disclosure does not automatically indicate any wrongdoing.

BrokerCheck is the source of the data included in this Report. The data was compiled on June 29, 2018.

To view the full report for STEVEN JAY KURYLA, click here.

The use of BrokerCheck data is subject to the BrokerCheck Terms of Use.