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Your mission is our mission — to help individuals and families mitigate risk and face their financial future with confidence. Our team of professionals comes from every corner of the industry, providing you with thoughtful and informed recommendations, and access to a diverse and comprehensive mix of life insurance, annuities, long-term care, disability and specialty products. The result is more revenue-generating opportunities for you and comprehensive coverage that's tailored to each of your client's needs.

We're committed to serving the professionals who make our industry great by helping people achieve financial strength and stability, today and tomorrow. Our broad distribution footprint ranges from independent agents, independent insurance agencies, broker dealers, registered representatives, investment advisors and registered investment advisors (RIAs), to other large insurance marketing organizations.

Build your business and deliver holistic financial strategies to clients through our:

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Shifting Dynamics in the Life Insurance and Annuities Market Report

Learn about five trends that can protect and grow your book of business in our 2024 report.

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Access the resources you need to support and grow your business

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Life and Annuity Brokerage Summary

  • Expansive selection of products from the industry's top carriers
  • An underwriting team with expertise in technical, medical, financial and overall mortality risk
  • Marketing and sales support that helps financial professionals stand out in their market
  • Decades-long commitment from every space in the industry to better serve the individuals who make our industry great

Meet the Life and Annuity Brokerage leadership

Disclaimer

For Financial Professional use only. Not for use with the public.

GBS Insurance and Financial Services, Inc., its affiliated companies, and their representatives and employees do not give legal or tax advice. Each taxpayer should seek independent advice from a tax professional based on his or her individual circumstances. Utilizing third party vendors does not absolve a financial adviser from their fiduciary responsibilities to their clients. Financial Professionals should ensure they continue to follow the current policies and procedures of their broker dealer and/or registered investment adviser and the insurance carriers they represent on the use of any advertising, third-party materials, sales processes and/or social media/internet use. As it relates to office set-up broker dealers and registered investment advisors have specific signage requirements privacy policies and other supervisory controls requirements. Shared marketing programs or content in no way supersedes the requirements of a financial professional's license requirement or the policies and procedures of your broker dealer or registered investment advisory firm.

Securities offered through The Leaders Group, Inc., Member FINRA/SIPC, 26 West Dry Creek Circle, Suite 800, Littleton, CO 80120 (303) 797-9080. GBS Insurance and Financial Services, Inc. is not affiliated with The Leaders Group, Inc. You may check the background of investment professionals on FINRA Broker Check.

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