My Team

I realize that when you become my client, you place your trust in me to help make your vision a reality.  I strive for excellence in the service of clients who are making some of the most important decisions of their lives, and have carefully chosen expert staff to fulfill this commitment.

I believe the exceptional care we take with our clients is what sets us apart from other advisors, and it is also why much of my business is built on referrals from existing satisified clients.

If you need to schedule an appointment or request any other service, please call or email us.  We will respond as promptly as we can.

Lucas Raymond Zabel

Lucas Raymond Zabel, CLTC®

Associate Wealth Management Advisor
Office 609-951-8700

As my Associate Wealth Management Advisor, Lucas manages investment operations and handles all client services for our investment clients. He ensures that we follow through with the commitments we make to our clients. 

Lucas graduated from Rutgers University in 2012 and has been with Northwestern Mutual ever since. Lucas joined my team in 2015 and has an extensive background in the Financial services and Investment industry. Lucas holds Series 7, Series 63, Life, and Health licenses. Reach out to him with any questions you might have.


Christine M Molony

Director of Operations and Client Service
Office 609-951-8700

Christine joined my Team in 2017 and has been a great addition for us. She has an extensive background in Administration and the Insurance industry. 

As my Director of Insurance Operations, she runs the day to day operations, helps answer questions about insurance policies and expedites the application process. She guides and supports our clients with whatever help they might need. Feel free to reach out to her with any and all questions. 


Alisha M Ferenczi

Alisha M Ferenczi

Director of Marketing
Office 609-951-8700

Mark J Krowiak, CLU®

Wealth Management Advisor


To learn more about Northwestern Mutual Investment Services, LLC and its financial representatives, visit: FINRA BrokerCheck