Wealth Options Ltd is a long established financial product provider operating in the Irish Financial Services Industry.
Wealth Options Ltd was established in 2003 by three former executives of Scottish Provident Ireland. We are a MiFID Firm regulated by the Central Bank of Ireland and also a Qualifying Fund Manager (QFM). Our customers are Financial Brokers. We do not deal directly with the public.
We aim to enable financial brokers become the most significant wealth management force for private clients in Ireland. We will achieve this by offering highly competitive pre and post retirement solutions, delivered through our exemplary administration service.
Wealth Options Ltd is proud to have won a number of financial industry awards over the past number of years.
Wealth Options are also a member of Brokers Ireland.
Brokers Ireland’s is the leading representative body for brokers with a combined strength of over 1,200 firms representing both general insurance and financial brokers throughout Ireland. As the premier voice and representative organisation for brokers, Brokers Ireland advise members, regulators, government and other stakeholders on key insurance issues in order to raise and maintain industry standards. All Brokers Ireland member offices embrace strict standards of conduct, professionalism and practice to ensure that high standards of service are delivered to all clients. Members are regulated by the Central Bank of Ireland and adhere to strict regulations such as the New Minimum Competency Code (MCC), Consumer Protection Code (CPC), MIFID 2 and the GDPR regulation.
Wealth Options Limited is regulated by the Central Bank of Ireland.