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Our Team
Jim Sanders Jim Sanders
President. MS, CFP 

Jim Sanders has 25 years of financial services experience and is a Certified Financial Planner with a Master of Science in Financial Planning. Jim is a member of the National Association of Christian Financial Consultants and has earned the designation of a Certified Christian Financial Consultant. He has completed the following registration requirements S7, S24, S51, S53, S63, S65. Among other involvements, Jim is a member of Gideons International. Additionally, Jim is a licensed Insurance Agent in North Dakota and Minnesota.

Jim Anderson Jim Anderson
Registered Representative 

Jim Has worked with Century Financial Advisors, Inc. since 1995. He is a Registered Representative with FSC Securities Corporation and is an agent of Century Financial Advisors, Inc., which is a Registered Investment Advisor. He holds the Series 7, 66 and 63 Securities Registrations, as well as being licensed in life and health insurance. Jim has over 14 years experience with individual and group health insurance programs. Jim works in the area of Small Group Financial Plans in addition to assisting individuals with their personal investment portfolios.

Janet Wieck Janet Wieck
Administrative Assistant

Janet Wieck has over 20 years of Administrative and Office Management experience. Her goal is to provide you with outstanding customer service.

Janet Wieck is not registered with FSC Securities Corporation.

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1318 23rd St South, Fargo, ND 58103
Phone: (701) 237-3453   Fax: (701) 893-3453    Email:

Securities offered through FSC Securities Corporation, member FINRA and SIPC . James Sanders and Dan Gardner offer investment advisory services through FSC Securities a registered investment advisor. Century Financial Advisors, not affiliated with FSC Securities Corporation or registered as a broker-dealer. 

James Sanders offers additional advisory services through Century Financial Advisors, Inc a registered investment advisor and is not affiliated with FSC Securities Corporation. 

This communication is strictly intended for individuals residing in the states where the registered representative is registered to conduct securities business. No offers may be made or accepted from any resident outside the specific state(s) referenced AK, AL, AR, AZ, CA, CO, DC, FL, GA, IA, IL, IN, KS, KY, LA, MA, MD, MI,  MN, MT, ND, NE, NH, NM,  NV, NY, OH, OR, SC, SD, TN, TX, VA, VT, WA, WI, WY.



A Broker/dealer, investment adviser, BD agent, or IA rep may only transact business in a state if first registered, or is excluded or exempt from state broker/dealer, investment adviser, BD agent, or IA registration requirements as appropriate. Follow-up, individualized responses to persons in a state by such a firm or individual that involve either effecting or attempting to effect transactions in securities, or the rendering of personalized investment advice for compensation, will not be made without first complying with appropriate registration requirements, or an applicable exemption or exclusion. For information concerning the licensing status or disciplinary history of a broker/dealer, investment, adviser, BD agent, or IA rep, a consumer should contact his or her state securities law administrator.


Check the background of this financial professional on FINRA's BrokerCheck.