Dynamic, performance-driven finance professional with extensive experience in trade support and processing, as well as corporate actions and comprehensive reconciliations within asset management and Hedge Fund environments. Manages the full life cycle of new customer account establishment, and addresses daily performance issues. Provides investment advisory support, ensuring accurate data entry and migrations while implementing and utilizing leading-edge processing systems. Develops and distributes comprehensive data and documentation, SEC filings and required reports. Spearheads operational excellence, performs and streamlines reconciliations, and improves processes that enhance efficiency and facilitate outstanding business results.