Broker Check

Illinois Office

650 Spring Hill Ring Rd., #2000

West Dundee, IL 60118

Florida Office

5337 Paylor Ln., Ste. 300

Lakewood Ranch, FL 34240
Sean  Hendricks

Sean Hendricks

Financial Advisor / Chief Compliance Officer

In the dual role of Financial Advisor and Chief Compliance Officer for Hendricks Wealth & Estate Management, my responsibility is to provide honest and ethical financial advice to our clients, and to ensure that the firm continues to operate within the laws and regulations mandated by the Securities and Exchange Commission (SEC).  I firmly believe that honesty, fairness, and hard work are the only foundation upon which success will stand, and I use this as a guiding principle in every aspect of my life.

Before the formation of Hendricks Wealth & Estate Management, I developed my skills as an attorney for nearly ten years at a nationally recognized Chicago-area law firm, where I was promoted to Senior Associate Attorney.  Prior to law school, I spent several years working in consultative sales positions for Fortune 500 companies.  My employment history has always required excellence in client-focused roles, and I am proud to continue this approach with Hendricks Wealth & Estate Management.  My background in law, combined with over fifteen years of success in client-focused roles, makes my career as a Financial Advisor and Chief Compliance Officer an extension of the skills which I have spent my entire adult life developing.

When I am not at work, you can usually find me spending time with my family (which also includes our two dogs) at our home in Genoa, Illinois.  I enjoy taking trips with my family to our cottage in southwest Michigan or catching Cubs or Bears games.  As a father of two very energetic boys, I also treasure the brief moments of tranquility sprinkled among the waves of chaos of everyday life.