He is a JD/MBA graduate with a decade of professional experience across law, finance, and technology. His interests span corporate law, securities regulation, investment management, tax, international business law, insurance, private equity, M&A, data privacy, closely-held businesses, and emerging areas like cryptocurrency. He is especially drawn to work that sits at the intersection of law, strategy, and commerce.
Prior to law school, he built a strong foundation in investment management and technology operations, earning FINRA Series 7, 63, and 3 licenses and leading enterprise-scale client initiatives. These experiences sharpened his ability to analyze risk, build trust with stakeholders, and translate complexity into practical, actionable advice.
In legal practice, He has contributed to matters involving class actions, data privacy, contract negotiation, and regulatory compliance. He is skilled in legal research, regulatory tracking, and drafting across a range of business and litigation contexts. His dual legal and business training allows him to approach challenges with both analytical precision and commercial awareness.
Whether advising internal clients or external stakeholders, he brings a thoughtful, strategic, and relationship-driven approach. He’s passionate about helping individuals, organizations, and communities navigate legal and financial decisions with clarity and confidence.
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