Financial services professional with hands-on experience supporting global custody operations across multiple markets and asset classes. I specialize in corporate actions and fixed income processing, ensuring accurate entitlement calculation, timely payments, and smooth coordination with internal teams and sub-custodians.
My work focuses on delivering reliable post-trade and income processing outcomes through strong attention to detail, market deadline adherence, and structured exception handling. I regularly work with SWIFT messaging, securities identifiers, and reconciliation processes to resolve breaks and ensure clean settlements and cash movements.
I bring a process-driven mindset to operations, with experience supporting regulatory requirements, tax-related workflows, and service quality initiatives. Known for being dependable under pressure, I enjoy collaborating with cross-functional teams to improve turnaround time, strengthen controls, and enhance the overall client experience.