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Vice President & Compliance Officer, Robin Holzschuh.

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.

Robin Holzschuh, CTFA, TEP, AEP®, ATFA, CFIRS®

Vice President & Compliance Officer

Direct Phone

(314) 219-0415

Email Address

robin.holzschuh@centraltrust.net

Robin’s career includes pivotal positions held at various prominent financial institutions where she focused on steadily advancing her expertise and knowledge in private wealth management. Robin possesses a diverse background in trust and estate administration, and she has consistently demonstrated a commitment to ensuring the highest standards of client satisfaction, fiduciary management, and regulatory compliance.

Her primary role at Central Trust Company is to create, implement and monitor the policies and procedures required by both internal and external auditors and regulators.

Education & Certifications

  • Certified Trust and Fiduciary Advisor (CTFA)
  • Society of Trust and Estate Practitioners (TEP)
  • Accredited Estate Planner (AEP®)
  • Accredited Trust and Fiduciary Advisor (ATFA)
  • Certified Fiduciary Investment Risk Specialist (CFIRS®)

Interests & Activities

Beyond her professional endeavors, Robin enjoys genealogy, summer shows at The Muny, and she is actively engaged in the Estate Planning Council of St. Louis.

Our St. Louis Team

Anita-Acinelli

Anita Acinelli, CTFA

Vice President & Relationship Manager
Carole Warnhoff

Carole Warnhoff, CTFA

Vice President & Senior Relationship Manager
Vice President & Wealth Management Advisor, Christian Argyros.

Christian Argyros, AWMA®

Vice President & Wealth Management Advisor
Dan Gunn

Daniel Gunn, J.D., MBA

Senior Vice President & Senior Portfolio Manager

Daniel Side, CFP®

Financial Planning Officer
Dawn Federhofer

Dawn Federhofer, CTFA

Senior Vice President & Senior Relationship Manager
Emily-Heitman

Emily E. Heitman, CTFA

Fiduciary Officer & Relationship Manager
Vice President & Portfolio Manager, John McMinn.

John McMinn, MBA, MPA

Vice President & Portfolio Manager
John Stieven

John Stieven, Sr., CFA, CFP®

Senior Vice President & Senior Portfolio Manager
Larry-Valencia

Larry L. Valencia, CFA

Senior Vice President & Senior Portfolio Manager
Vice President & Senior Relationship Manager, Mary Korner.

Mary Korner, J.D.

Vice President, Senior Fiduciary Officer & Senior Relationship Manager
Vice President & St. Louis Market Executive, Meredith LaRock.

Meredith Young, CFP®, CTFA

Vice President & St. Louis Market Executive
Nancy O'Neal

Nancy O’Neal, CFP®, CFIRS™

Executive Vice President & Chief Compliance Officer

Nicholas Hinkebein, CFA

Portfolio Manager
Vice President & Compliance Officer, Robin Holzschuh.

Robin Holzschuh, CTFA, TEP, AEP®, ATFA, CFIRS®

Vice President & Compliance Officer
Ryan-Zeman

Ryan Zeman, MBA, CTFA

Vice President & Relationship Manager
Sean-Stout

Sean Stout, MBA, CFA, CFP®

Senior Vice President & Senior Portfolio Manager
Stacey Beatty

Stacey Beatty

Senior Vice President & Senior Portfolio Manager