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Serving the Heartland since 1979
Our Team

Doug Thompson | Owner, Registered Representative and Investment Advisor Representative
 
My business practice was established in 1979. I began as an insurance agent after being a teacher/coach in Duluth, MN for seven years. My practice grew over the next four years and in 1983, following the birth of our two daughters, my wife and I moved back to southeast Minnesota, which is where we grew up. Shortly after the move to southeast Minnesota, I began to add securities and other products to my business. Our family also grew with the birth of our third and last child, a boy.

Having a family and being a business owner, allows me to understand and appreciate the ups and downs of both. As I visit with clients and prospective clients, I feel a connection to them because many of our experiences in life have been similar. I am currently working toward my Certified Financial Planner designation through The American College. I thoroughly enjoy the work and the people I help. In fact, many of them have also become our best friends! 

 Corey Schmiedeberg | Associate, Registered Representative and Investment Advisor Representative
 
I joined Heartland Money Management in June of 2007 as an insurance agent. Prior to joining Heartland Money Management I worked as a sales consultant, helping businesses streamline productivity and reduce operating expenses. By utilizing the consultative skills learned previously, and my wife being in the financial services industry, Heartland Money Management made for a great fit.

My primary area of service is the Minneapolis/ St. Paul metro area; with the ever shrinking world it is important to expand the area of service to ensure client satisfaction.  


616 18th Street SW , Rochester, MN  55902
Phone: (507) 288-5006   Fax: (507) 288-5552   Email: doug@heartlandmoney.com
 
17316 Kenyon Ave, Suite 105 , Lakeville, MN 55044
Phone: (651) 331-9011   Fax: (507) 288-5552   Email: corey@heartlandmoney.com
 
 
Securities offered through Sammons Securities Company, LLC.
A registered broker/dealer. Member FINRA & SIPC.
Fee-based investment advisory services offered though SPC, a registered investment advisor.