CLIENT RELATIONSHIP MANAGER
Nick is a Wealth Client Relationship Manager located in our Eastport office. He joined the Seacoast team in 2026 after beginning his career at Citizens First Bank in 2018. Starting as a teller, Nick quickly advanced and became a key contributor with Citizens First Wealth Advisors before transitioning to Seacoast Investment Services.
As a CERTIFIED FINANCIAL PLANNER®, Nick is responsible for the seamless coordination of client relationships, ensuring every aspect of the client experience is handled with precision and care. He holds FINRA Series 7 and Series 66 registrations through LPL Financial, along with a Life, Health and Variable Annuity License.
Outside of the office, Nick enjoys cooking, reading, spending time with family and exploring the outdoors.
Nick can be contacted at Nicholas.Govola@SeacoastBank.com
1. Certified Financial Planner Board of Standards Inc. owns the certification marks CFP®, CERTIFIED FINANCIAL PLANNER™, CFP® (with plaque design) and CFP® (with flame design) in the U.S., which it awards to individuals who successfully complete CFP Board's initial and ongoing certification requirements.
Securities and advisory services are offered through LPL Financial (LPL), a registered investment advisor and broker-dealer (member FINRA/SIPC). Insurance products are offered through LPL or its licensed affiliates. Seacoast Bank and Seacoast Investment Services are not registered as a broker-dealer or investment advisor. Registered representatives of LPL offer products and services using Seacoast Investment Services, and may also be employees of Seacoast Bank. These products and services are being offered through LPL or its affiliates, which are separate entities from, and not affiliates of, Seacoast Bank or Seacoast Investment Services. Securities and insurance offered through LPL or its affiliates are:
| Not FDIC Insured | Not Bank Guaranteed | May Lose Value | Not Insured by any Federal Government Agency | Not a Bank Deposit |
Seacoast Bank (“Financial Institution”) provides referrals to financial professionals of LPL Financial LLC (“LPL”) pursuant to an agreement that allows LPL to pay the Financial Institution for these referrals. This creates an incentive for the Financial Institution to make these referrals, resulting in a conflict of interest. The Financial Institution is not a current client of LPL for brokerage or advisory services. Please visit https://www.LPL.com/disclosures/is-lpl-relationship-disclosure.html for more detailed information.
