Mitchell D Letwin, CLTC®

Wealth Management Advisor

My Team

Mitchell Letwin strongly believes that quality is always more important than quantity.  In order to meet his clients' needs, he relies on a team of well trained and knowledgable associates.  Here at Northwestern Mutual, developing enduring relationships and providing exceptional customer service is simply what we do.

My Associates



Chris A Pierce

Director of Operations and Client Service
Office 412-281-5540

Chrisann has been working with Mitchell for 8 years.  She currently serves as an Associate Financial Representative and Director of Internal Operations.  Chris has earned her PA Life and Health Insurance License along with the FINRA Series 6 and 63 designations.  She is responsible for all customer service including insurance and investments. Chris resides in Moon Twp with her husband and three children.   She is currntley work   Sh 


Jim Silver, CFP®, RICP®, CLTC®

Financial Planning Analyst
Office 412-281-5540

Jim began his career with Northwestern Mutual in 2015 after a successful and fulfilling 38 year career as a Financial Professional and Principle with several local businesses. Jim has earned  both Undergraduate and Graduate Degrees  as well  an  Advanced Certificate in Accounting  from the University of Pittsburgh, and an Executive Certificate in Financial Planning from The Duquesne University Graduate School of Business.  Jim is FINRA  Series 6,7,63  and Pennsylvania Life Health and Accident Insurance  Licensed.  A  life long  Pittsburgh native,  Jim currently resides in the Squirrel Hill section of the City with his wife Beth, and their daughter Mara. 


Certified Financial Planner Board of Standards Inc. owns the certification marks CFP®, CERTIFIED FINANCIAL PLANNER™  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.


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