My mission is to create lasting relationships, backed by tailored financial guidance, and enforced through exceptional service. I joke that my job title should actually be Financial Mother. Throughout the years and hundreds of clients I have sat down with, one theme is always reoccurringthere is little rhyme and reason behind the amount they are setting aside and how they are invested even though the amount they set aside and how it is invested will determine if and how they can retire. My focus is simple: to create order and purpose out of the financial chaos. I graduated summa cum laude from George Mason University in 2008 and went on to graduate law school at Catholic University in Washington D.C. in 2011. I practiced as a certified student attorney in Maryland and the District of Columbia before becoming a licensed attorney in California in 2013*. During my time practicing as an attorney, I focused on estate planning which led me to become a financial advisor with WFA in 2014. My paired experience allows me to have a more holistic approach when creating your Investment plan. I balance my free time: persuading my teenage daughter to leave her room and explore the sunlight with me; participating in group trail running events; attempting to watch all new movie releases in hopes that I can dominate a movie category on Jeopardy; and roaming the aisles at Costco to find the hidden treasures. I hold a Series 7 and 66 registration, a California Insurance License #0J04353, and a State Bar of California license #289968 although I am not currently a practicing attorney. This information is intended for use by residents of CA, CO, ID, MO, NC, NM, NY, OR, TX, and WA only. WFA is not a tax or legal advisor. Be sure to consult with your own tax and legal advisors before taking any action that may have tax consequences. /*********/ Investment and Insurance Products are: * Not Insured by the FDIC or Any Federal Government Agency * Not a Deposit or Other Obligation of, or Guaranteed by, the Bank or Any Bank Affiliate * Subject to Investment Risks, Including Possible Loss of the Principal Amount Invested Wells Fargo Advisors is a trade name used by Wells Fargo Clearing Services, LLC, Member SIPC, a registered broker-dealer and non-bank affiliate of Wells Fargo & Company. Opinions and comments do not necessarily represent the views of our firm. Additional guidelines can be found on