Our Team

Craig R. Neader CPA/PFS, CFP, RFC

Craig R. Neader is a 1975 graduate of Western Illinois University with a bachelor of business degree in accountancy. After spending several years in public service and private industry, he began his career in financial services in 1988.

Craig has been licensed in the securities industry since 1989 and is a licensed CPA and Certified Financial Planner. He also holds numerous other licenses and professional designations and is active in various community organizations.

Craig is the founder of Third Street Advisors, LLC where he serves as Managing member and Chief Investment Officer. He is also a registered principal of FSC Securities Corporation and owner of Neader Insurance Services, Inc., and Neaco Advisory, Inc., a fee only registered investment advisor.


Darryl J. Wolff, Sr. CPA

Darryl J. Wolff is a 1980 graduate of Carroll University with a bachelor's degree in accounting.  He also received a Masters of Business Administration from Northern Illinois University in 1988. Darryl has been licensed in the securities industry since 1996.  His background includes ownership of a small, regional CPA firm, as well as employment at several manufacturing companies in accounting and financial management, production management, and logistics management.

Darryl is a founding member and investment advisory representative of Third Street Advisors, LLC. He is also a registered representative of FSC Securities Corporation and affiliated with Neader Insurance Services, Inc., and Neaco Advisory, Inc., a fee only registered investment advisor.


Sheila M. Baker, Chief Compliance Officer

Sheila M. Baker is a 1978 graduate of Northwestern University.  Her experience in the financial services industry dates back to 1987.  Sheila is currently the Chief Compliance Officer and an investment advisory representative of Third Street Advisors, LLC.  She is also a registered representative of FSC Securities Corporation and affiliated with Neader Insurance Services, Inc., and Neaco Advisory, Inc., a fee only registered investment advisor.