---
title: Belinda Rogers | Financial Advisor at Commerce Financial Advisors
description: Meet Belinda L. Rogers, an experienced Financial Advisor at Commerce Financial Advisors, specializing in investment management, retirement planning, and insurance strategies.
image: https://www.commercefinancialadvisors.com/hubfs/Belinda%20Rogers.png
---

![Rogers-640x850](https://www.commercefinancialadvisors.com/hubfs/CFA%20Website/CFA%20Headshots/Headshots%203-21-25/Rogers-640x850.jpg)

[**](mailto:Belinda.Rogers@CommerceBank.com) [**](https://www.linkedin.com/in/belinda-rogers-56196287/)

 

## Belinda L. Rogers, AAMS®, CRPS® 

###### Assistant Vice President, Financial Advisor

Commerce Financial Advisors

 

Belinda joined Commerce Financial Advisors in 2024 to help clients define their financial goals, develop a strategy to work toward those goals, and measure their progress along the way. She has 5 years’ experience helping clients take a holistic approach to their financial life.

Belinda assists clients with investment management, retirement planning, and insurance strategies. She earned a Bachelor of Business Administration from University of Missouri, Kansas City.  She has her Securities Licenses Series 7 and 66 held with LPL Financial, as well as her License for Life, Health, and Variable Contracts. Belinda obtained her Accredited Asset  
Management Specialist (AAMS®) designation in 2021 and her Chartered Retirement Plans Specialist (CRPS®) in 2024.

 

1345 E Battlefield Springfield, MO   
417-837-5211  
[Belinda.Rogers@CommerceBank.com](mailto:Belinda.Rogers@CommerceBank.com)

 

 

 

The location listed above is the registered office for the Financial Advisor. Please call or email to set up an appointment at the banking center you selected.

[FINRA](http://finra.org/) (Financial Industry Regulatory Authority) oversees the people and firms that sell stocks, bonds, mutual funds and other securities. Use FINRA's [BrokerCheck](https://brokercheck.finra.org/) to find employment history, certifications, and licenses — as well as regulatory actions, violations or complaints — for any financial advisor. 