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RMD Considerations

Home » Windward Passages » RMD Considerations

RMD Considerations

Posted on: January 31, 2025

Required Minimum Distributions (RMDs) are mandatory withdrawals from qualified retirement accounts that begin once you reach a certain age, generally age 73 or 75 depending on your date of birth. If you inherit a qualified retirement account, RMD requirements vary based on the circumstances specific to your situation. These annual distributions can impact your financial planning in a variety of ways, including: determining the most appropriate time to take the withdrawals, calculating the correct amount of distributions needed to satisfy your RMD requirement, and the tax implications of your distributions.

The checklist below covers some of the ways you can integrate RMDs into your broader retirement planning goals, including:

• Income tax planning opportunities for RMDs
• Cash flow and withdrawal planning
• Qualified Charitable Distributions

It is important to periodically review how you are handling your annual RMD. With so many different variables and opportunities to consider, RMD planning can be a complex process. We are here to help you through that process, and to help you start, we’ve prepared a checklist of key considerations to guide your RMD review:

What Issues Should I Consider When Reviewing My RMD?

 

While checklists and flowcharts can help you identify different opportunities, we are always available to meet with you to discuss your financial needs and goals, and to help identify what the best opportunities are for you.

This content is provided by Windward Private Wealth Management Inc. (“Windward” or the “Firm”) for informational purposes only. Investing involves the risk of loss and investors should be prepared to bear potential losses. No portion of this blog is to be construed as a solicitation to buy or sell a security or the provision of personalized investment, tax or legal advice. Certain information contained in the individual blog posts will be derived from sources that Windward believes to be reliable; however, the Firm does not guarantee the accuracy or timeliness of such information and assumes no liability for any resulting damages.

Windward is an SEC registered investment adviser. The Firm may only provide services in those states in which it is notice filed or qualifies for a corresponding exemption from such requirements. For information about Windward’s registration status and business operations, please consult the Firm’s Form ADV disclosure documents, the most recent versions of which are available on the SEC’s Investment Adviser Public Disclosure website at www.adviserinfo.sec.gov.

Filed Under: Financially Independent, Recent Posts

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Windward Private Wealth Management Inc. is an SEC registered investment advisor. Past performance is no guarantee of future results. All securities involve risk and may result in a loss. *We do not provide legal services. These services are rendered at client request in coordination with legal counsel. Legal services will be billed by the provider and are separate from our fees. We do not sell insurance products. These products may be purchased at client request in coordination with insurance agents. Insurance agents are responsible for recommendation of all insurance products. Windward does not guarantee the performance of any insurance product purchased.
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