Thomas J Horky, CLU®, ChFC®, CASL®

Wealth Management Advisor

My Team


One of the ways that Tom meets client needs is through the efforts of the team that he has assembled and continually develops. Each member shares his daily dedication to making good choices in the service of client objectives, and Tom regards the group as indispensable to any and all successes that have been attributed to him.
Tannar Johnson

Tannar Johnson

Marketing/Client Relations Manager
Office 608-836-2081

Tannar can help you with:

  • Appointment Scheduling
  • Policy or Account Servicing
  • General Inquires

Tannar is a 2015 graduate of the University of Wisconsin-Whitewater with a BBA in Marketing.  Tannar spent a year as a College Financial Representative with our office before joining our team. He holds the series 6 & 63 securities license and Wisconsin life, health & variable insurance license.

Alexis Walby

Alexis Walby

Director of Investment Services
Office 608-662-3934

Alexis is responsible for:

  • Investment account opening and maintenance
  • Trade processing, money movements, distributions and transfers

Alexis has been with Northwestern Mutual since May 2000 and joined our team in 2017. She holds the series 6,7,9,10 & 63 securities licenses and Wisconsin life, health & variable insurance licenses.

Darrin M Sharp

Darrin M Sharp

Associate Wealth Management Advisor
Office 608-836-2085

Darrin can help you with:

  • Financial Plan Analysis
  • Personal portfolio management

Darrin joined Northwestern Mutual in September of 2012. Darrin earned his MBA from the Univeristy of Wisconsin-Madison.

Jillaine N Squires

Jillaine N Squires

Director of Insurance Operations and Services
Office 608-836-3080

Jill can help you with:

  • Risk product underwritting
  • Policy service and changes

Jill is a native of Madison and joined Northwestern Mutual in 2015.  She can assist you with insurance products and servcing.


To learn more about Northwestern Mutual Investment Services, LLC and its financial representatives, visit: FINRA BrokerCheck