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Grand River Capital

Grand River Capital

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Our Alumni

At Grand River Capital, we hold a deep appreciation for the professionals who once strengthened our team with their expertise and dedication. Their years of service were marked by invaluable contributions that have left an indelible mark on our company. While they may have embarked on a new chapter of their lives in retirement, their legacy continues to resonate at Grand River Capital.

We are privileged to honor their commitment by seamlessly transitioning to steward their clients’ financial futures with the same level of care and professionalism. As we carry forward their legacy, we remain steadfast in our commitment to upholding the standards of excellence they helped establish.

Tim Haber

Timothy R. Haber

Tim started his business career on the West Coast after graduating from the University of Wisconsin. After working in sales for an office and business systems manufacturer for a number of years, Tim returned to Cleveland to enter the insurance and financial services business. He earned the Chartered Life Underwriter® (CLU®) and Chartered Financial Consultant® (ChFC®) designations, and completed advanced studies in the areas of Employee Benefits, Business Tax Planning, and Estate Planning. He has taught Business Insurance at the college level. Active in his industry, Tim served as President of the local Society of Financial Service Professionals chapter and is a member of the National Association of Insurance and Financial Advisors (NAIFA), and Estate Planning Council. Tim currently resides in Shaker Heights.

Ron Hansen

Ron received his undergraduate degree at Case Western Reserve University. While there he entered the life insurance business as a campus agent. Ron has earned the Chartered Life Underwriter® (CLU®), Chartered Financial Consultant® (ChFC®) and Masters of Science in Financial Services designations from The American College in Bryn Mawr, PA. He is a life member of the Million Dollar Round Table (MDRT), and has served as President of the local chapter of the Society of Financial Service Professionals. Ron is active in the Rotary Club of Cleveland, where he has served as its President. A long-time choir member of his church and former member of the Cleveland Orchestra Chorus.

Rashi Presswala

Rashi is a CPA, a CERTIFIED FINANCIAL PLANNER (CFP®) since 1988, and she has been a an attorney at law with 15+ years of experience helping clients manage their total financial plan. Rashi lives in Bay Village. Certified Financial Planner Board of Standards Inc. owns the certification marks.

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Grand River Capital

8500 Station Street – Suite 300G
Mentor, OH 44060

© 2025 Grand River Capital, LLC · Design by MM&D

Disclosures

Any tax advice contained herein is of a general nature and is not intended for public dissemination. Further, you should seek specific tax advice from your tax professional before pursuing any idea contemplated herein. This advice is being provided solely as an incidental service to our business as financial planners and investment advisors.
Securities Offered Through ValMark Securities, Inc. Member FINRA, SIPC. Investment Advisory Services Offered Through ValMark Advisers, Inc. a SEC Registered Investment Advisor
130 Springside Drive, Akron, Ohio 44333-2431 1-800-765-5201
Grand River Capital, LLC is a separate entity from ValMark Securities, Inc. and ValMark Advisers, Inc.
FINRA BrokerCheck
Certified Financial Planner Board of Standards, Inc. (CFP Board) owns the CFP® certification mark, the CERTIFIED FINANCIAL PLANNER™ certification mark, and the CFP® certification mark (with plaque design) logo in the United States, which it authorizes use of by individuals who successfully complete CFP Board’s initial and ongoing certification requirements.
Our site contains hyperlinks to other web sites operated by third parties. These links will take you away from our site. Please note that we do not guarantee the accuracy or completeness of any information presented on these sites.
Please review the Customer Relationship Summary, which is a disclosure document that describes the services, fees, costs, and conflicts of interest associated with opening accounts and working with a member of our team as a registered representative of Valmark Securities, Inc., or as an Investment Advisor Representative of Valmark Advisers, Inc.

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