I began my career as a compliance assistant with Sentra Securities. With my extensive experience in the securities industry, I provide clients with valuable insight and seasoned judgement as a financial advisor with RBC Wealth Management, and previously with other distinguished financial institutions. I have passed the Series 7, 9, 10, 24, 63 and 65 securities exams and hold California life, and accident and health insurance licenses.
I graduated from San Diego State University where I received a Bachelor of Science degree in business and information systems. I am active in the San Diego community and a native of San Diego. Away from the office, I enjoy spending time with my family and friends, biking, hiking and gardening.