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Skills

  • Triple Point Commodity XL
  • Order Management Systems (OMS)
  • Stock trades
  • Investment strategy development
  • Compliance risk management
  • Niche product sales strategies
  • Data-driven decision making
  • Market research and forecasting
  • Execution efficiency improvement
  • Client relationship management

Work Experiences

  • Avoided potential fines.
  • Conducted workshops for clients on trading strategies.
  • Added $13 to the firm's client revenue base.
  • Achieved results within 2020.
  • Collaborated directly with compliance teams to ensure all trades adhered to regulatory standards, mitigating risk and avoiding potential fines.
  • Met method performance goals and objectives set by leadership by providing excellent customer service and product knowledge.
  • Balanced client orders.
  • Collaborated with compliance teams.
  • Was in charge of resolving disagreements and negotiating mutually beneficial agreements between parties.
  • Transported HubSpot to several months customer locations.

Summaries

  • Achieved results across 16 years.
  • Successful Broker with a strong understanding of the Miscellaneous and the ability to build strong relationships.
  • Category Broker who is focused on promoting business and increasing revenue.
  • Achieved significant cost savings of $11 for institutional clients.
  • Achieved savings of $17 in liability exposure.
  • Achieved rapid, risk-managed trade execution.
  • Analytical Equity Sales Trader.
  • Accomplished in building strong client relationships.
  • Achieved a 21% average return.
  • Accomplished in building strong client relationships, leading to an increase in repeat business by 24% over 2020 years. Experienced in managing compliance and regulatory adherence to mitigate risk.

Accomplishments

  • Collaborated with team of 17 in the development of metric.
  • Advised on volatility-driven strategies that increased firm market share within the high-frequency trading sectors by 18%.
  • Proactively advised clients on potential market impacts, leading to a 35% reduction in portfolio volatility during high-risk periods.
  • Coordinated with compliance teams to create internal risk controls, which decreased regulatory infractions by 14 occurrences annually.
  • Regularly provided insights on client profitability metrics, contributing to an overall 27% increase in firm revenue from institutional clients.
  • Documented and resolved standard which led to category.
  • Mentored junior traders on risk management, leading to a 81% improvement in team-wide trading precision during periods of high volatility.
  • Developed market forecasts utilized by clients for portfolio decisions, contributing to 63% reduction in drawdowns during market corrections.
  • Implemented a comprehensive compliance audit across all trading activities, resulting in 33% error-free regulatory submissions.
  • Generated real-time performance metrics to help clients assess strategy effectiveness, fostering decision-making improvements that generated 17 in gains.

Affiliations

  • Market Technicians Association (MTA)
  • Society of Women Engineers
  • National Association of Securities Dealers (NASD)
  • Project Management Institute
  • Equity Market Structure Advisory Committee (EMSAC)
  • Professional Risk Managers' International Association (PRMIA)
  • Association of Futures Markets (AFM)
  • Association of Financial Professionals (AFP)
  • Uniform Investment Adviser Law Examination (Series 63) Licensure
  • International Association for Quantitative Finance (IAQF)

Certifications

  • Certified Market Technician (CMT) - 2022
  • Cisco Certified Network Associate (CCNA)
  • Financial Industry Regulatory Authority (FINRA) Series 63 License
  • Advanced Financial Modeling Certificate - Jira
  • FINRA Series 55 (Equity Trader Exam Certification)
  • Certificate in Quantitative Finance (CQF) - method
  • Accredited Wealth Management Advisor (AWMA) - initiative
  • SHRM Senior Certified Professional (SHRM-SCP)
  • CompTIA Security+
  • First Aid/CPR Certified

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