I am a client-focused wealth management professional with over 25 years of experience delivering exceptional service in banking, insurance, and financial services. Throughout my career, I have developed proven expertise in client relationship management, operational support, regulatory compliance, and CRM systems. I have a strong background supporting high-net-worth clients through comprehensive financial solutions including wealth management, lending, and deposit services.
I am FINRA licensed with a deep understanding of compliance requirements and client confidentiality. I am recognized for building lasting client relationships, proactive communication, and translating complex financial concepts into actionable client strategies. My core competencies include client service excellence, operational support, compliance and regulatory adherence, and business and financial acumen.
I have extensive experience utilizing Microsoft Office Suite and CRM platforms such as Salesforce to manage client pipelines, generate proposals, and coordinate meetings. My business skills include P&L management, financial planning, insurance and risk products, and commercial banking operations.
In my recent roles, I have provided comprehensive tax preparation and advisory services, wealth management support to high-net-worth clients, and managed client onboarding and documentation processes. I am adept at maintaining strict compliance with IRS, FINRA, and banking regulations while ensuring client data security.
I am highly detail-oriented with exceptional organizational and communication skills, enabling me to prioritize multiple tasks, manage competing deadlines, and support team workflows effectively. I am committed to maintaining client privacy and confidentiality in all situations and have a collaborative approach working with advisors, specialists, and operations teams to achieve client goals.