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Kevin Bohn

St. Louis Office Information

7707 Forsyth Blvd.
St. Louis, MO 63105

Phone: (314) 725-9055

Hours: 8:00 a.m. to 5:00 p.m.

Kevin Bohn, CTFA, CFP®

Vice President & Relationship Manager

Direct Phone

314-746-4679

Email Address

kevin.bohn@centraltrust.net

Kevin began his financial services career in St. Louis, Missouri, in 2006. His primary role at Central Trust Company is to provide wealth advisory; tax and estate planning strategies; and fiduciary services to clients.

Education & Certifications

  • Bahelor of Science in Business Administration, University of Missouri
  • Bachelor of Arts in Political Science, University of Missouri
  • Certified Trust and Financial Advisor (CTFA)
  • Certified Financial PlannerTM Professional (CFP®)
  • Graduate of the Cannon Trust School

Interests & Activities

Kevin is a member of the Estate Planning Council of St. Louis. In his free time, he enjoys spending time with his family and attending Cardinals and Blues games.

Our St. Louis Team

Carole Warnhoff

Carole Warnhoff, CTFA

Assistant Vice President & Relationship Manager
Dan Gunn

Daniel Gunn, J.D., MBA

Vice President & Senior Portfolio Manager
Dawn Federhofer

Dawn Federhofer, CTFA

Senior Vice President & Senior Relationship Manager
Evan Sowers

Evan Sowers, MBA

Executive Vice President & St. Louis Market Executive
Fred Haehnel

Fred Haehnel, J.D.

Vice President & Relationship Manager
Genny McIntire

Genny McIntire

Trust Officer & Relationship Manager
John Sastry

John Sastry, J.D., CFP®

Vice President & Financial Planning Officer
John Stieven

John Stieven, Sr., CFA, CFP®

Vice President & Senior Portfolio Manager
Kathy Selinger

Kathy Selinger, J.D.

Vice President & Senior Fiduciary Officer
Kevin Bohn

Kevin Bohn, CTFA, CFP®

Vice President & Relationship Manager
Liz Moisio

Liz Moisio, J.D., MBA

Vice President & Wealth Management Advisor
Melissa Bloodworth

Melissa Bloodworth, CTFA

Vice President & Senior Relationship Manager
Nancy ONeal

Nancy O’Neal, CFP®, CFIRS™

Senior Vice President & Chief Compliance Officer
Ryan Mancini

Ryan Mancini, MBA

Vice President & Portfolio Manager
Stacey Beatty

Stacey Beatty

Vice President & Portfolio Manager
Steve Johnson

Steve Johnson, MBA

Senior Vice President & Senior Portfolio Manager
Vance Urick

Vance Urick, CTFA

Senior Vice President & Senior Portfolio Manager
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