Experience Compliance Professional
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Experienced risk management and compliance professional with a strong legal background and a proven track record of developing controls frameworks, executing on risk mitigating initiatives, and leading high-profile projects. Known for effectively enhancing processes and delivering results aligned with organizational goals.
I am an experienced investment compliance professional with a legal degree and member of the Delaware State Bar. Currently, I am a Vice President in the Portfolio Compliance Group at BlackRock, where I lead compliance and risk initiatives including writing compliance policies, identifying and mitigating risk, and implementing various compliance controls and reporting materials. Previously, I worked as an Associate Attorney at Heckler & Frabizzio, a Law Clerk at The Family Court, and an Intern to Justice Henry DuPont Ridgely at The Supreme Court of Delaware.
I also have experience as an Investment Accounting Analyst at DuPont Capital Management and as a Revenue Officer at the Internal Revenue Service.
I was awarded my J.D. in 2014 from Widener University School of Law, and I am a member of the Delaware State Bar.