
Complete the form below to request a time to talk about the topic that caught your attention or anything else you’d like to know more about in your retirement planning.
We never spam. By clicking this button, you consent to be contacted by a financial professional by phone, email, and/or automated SMS regarding your financial strategy. You may unsubscribe at any time. Consent is not a condition of receiving services.


As the founder and president of Staton Financial Group, Scott is focused on helping clients work toward their retirement dreams through a well-thought-out strategy for retirement income.
Scott is a Financial Advisor. He holds a life insurance license in Oklahoma, Texas, Kansas, Iowa, Florida, Arkansas, Alabama, Missouri, and Maryland as well as a FINRA Series 65 registration in Oklahoma. He also earned his Retirement Income Certified Professional (RICP®) designation from The American College.
Scott got his start in the industry in 1999. He quickly developed a passion for helping clients preserve their hard-earned assets. As his business grew, Scott started adding services to offer clients a well-rounded financial plan. Scott’s favorite part of business is getting to know people and helping them achieve their financial goals. The number one mission of Staton Financial Group and all its team members is to help you have the retirement you’ve always wanted.
A native Oklahoman, Scott has been married to Angela since 1994, and they have two children. They live in Oklahoma City, attend Southern Hills Baptist Church, and are very active in their community. He is on the Board of Trustees for Mid-America Christian University. He also served for 4 years on the Board of Directors for Reaching Souls International and 3 years as the Chairman of the Audit Committee for Oklahoma Baptist Homes for Children.

Advisory services are offered through Coppell Advisory Solutions, LLC, doing business as Fusion Investment Advisors. The firm is registered as an investment advisor with the SEC and only conducts business in states where it is properly registered or is excluded from registration requirements. Registration is not an endorsement of the firm by securities regulators and does not mean the advisor has achieved a specific level of skill or ability.
11/23-3217362