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The Team



VBC’s team has 100 plus years of combined experience spanning the broker/dealer, bank, mutual fund, and insurance marketplaces. 

VBC Securities, LLC where vision builds confidence™

Established 1970  |  Member: FINRA, SIPC




Robert J. Pasch  Principal; Registered Representative—Licensed Stock & Bond Broker

Bob celebrates over twenty years with VBC.  As Head Trader, Bob is second in command of the operation of the firm.  As a lifetime resident of Clifton, Bob enjoys being a full-service financial brokerage principal whose strong background in estate planning and tax preparation is key to his commitment to the community.  Bob is a licensed New Jersey Life Insurance Broker.

E-mail: rpasch@vbcsecurities.com  Phone: 973 928-5400 Ext 301

For over twenty years, Maria has been key to making VBC run efficiently.  Her duties include assisting the brokers with account set-up, maintenance and client communication.  She also assists with the registration process.  Maria manages the general flow of the office keeping the brokers informed  about their clients as well as changes in regulatory issues.


Maria holds the following securities license:

· Representative-Series 7

VBC Securities, LLC


348 Clifton Avenue, Clifton, NJ 07011

Hours: Monday through Friday 9:00 AM - 5:00 PM

Toll Free: (877) 982-2732

Main: (973) 928-5400

Fax: (973) 928-5402

Copyright 2009 VBC Securities All Rights Reserved


All information contained herein is for informational purposes only.  Providing said information does not in any way form – oral, written or otherwise create, establish or develop any relationship between VBC Securities, LLC and the reader of the information on this site.

E-mail: rbecker@vbcsecurities.com  Phone: 973 928-5400

Robert F. Becker  Registered Representative——Licensed Stock & Bond Broker

In addition to being an independent registered representative with VBC, Robert is primarily a Registered Tax Return Preparer and owner of Becker Tax Services in High Bridge, NJ.  He works with his clients to develop investment and tax planning strategies and assists them in selecting and trading investments suitable for implementing those strategies.  As a New Jersey Insurance Broker, he can also assist his tax clients with their insurance needs. 

Robert became an independent registered representative with VBC in 2003 after the close of Multi Spectrum Investment Corporation where he had been a broker since 1974.

Robert holds the following securities licenses:

· Representative-Series 1

· Agent- Series 63

Photography by HayGroundPhotos  All Rights Reserved

Bob holds the following securities licenses:

· Representative-Series 7

· General Securities Principal-Series 24

· Agent- Series 63

Maria E. Sniezek  Account Executive & Registered Representative—Licensed Stock & Bond Broker

E-mail: msniezek@vbcsecurities.com  Phone: 973 928-5400 Ext 302

Martha B. Pierce Managing Member; Principal; Registered Representative—Licensed Stock & Bond Broker

E-mail: mpierce@vbcsecurities.com  Phone: 973 928-5400 Ext 304

Martha is proud to have been given the opportunity to carry on the legacy of VBC Securities, LLC as its 4th Managing Member.  Martha has been a financial services professional for over twenty-five  years.


After starting her career on the municipal bond desk at Smith Barney, Martha gained knowledge in relationship management, product development, marketing, compliance and operations for all domestic and international investment vehicles at notable firms like Arnhold and S. Bleichroeder Advisers, The Bank of New York Mellon and American General


Martha is a financial planning professional and brings that knowledge and expertise to VBC.  Martha is a Certified Financial Planner practitioner and a licensed New York State and New Jersey State Life Insurance Broker.


Martha holds a Bachelor of Arts degree from The Ohio State University, Columbus, OH and a Certificate in Financial Planning from New York University - SPS, New York, NY.  Additionally, Martha is a member of the Financial Planning Association and participates in the New York Chapter as a member of the Public Awareness Committee. 



Martha holds the following securities licenses:

· Representative-Series 7

· General Securities Principal-Series 24

· Municipal  Securities Principal-Series 53

· Agent- Series 63