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Eric Orzechowski - Supervisor Fund Accounting
Mr. Orzechowski is a supervisor in the fund accounting department for Matrix Fund Services. Eric's duties and responsibilities are focused on financial reporting and supervising the computation of the daily net asset value of all Funds serviced by Matrix.
Eric entered the securities industry in 1998, employed as a fund accountant with Declaration Service Company of Conshohocken, PA. By September 2001 he was supervising a staff of fund accountants on all daily processing, striking and publishing of NAVs for approximately thirty mutual funds.
Between September 2002 and January 2008 Eric was a manager in the financial reporting department for the Citco Fund Services Inc. of Malvern, PA. Eric's duties included preparing and reviewing reports for hedge funds, fund of funds and private equity funds; drafting financial statements footnotes disclosures as required by the financial reporting standards of the fund using GAAP or IFRS; and supervising and day to day operations of the accounting staff.
Eric received a Bachelor of Science Degree in Business Administration with a major in Accounting from Temple University, Philadelphia, PA.
Ryan P. Boyd - Fund Accountant
Mr. Boyd is employed as a fund accountant. Ryan’s duties and responsibilities are focused on general accounting activities associated with computing the fund’s daily net asset value.
Ryan received a Bachelor of Science Degree in Business Administration with a Concentration in Marketing from Temple University, Philadelphia, PA.
Ryan A. Flynn - Fund Accountant
Mr. Flynn is employed as a fund accountant. Ryan's duties and responsibilities are focused on general accounting activities associated with computing the fund's daily net asset value. Ryan is also well versed with Hedge Fund accounting issues.
Ryan entered the securities industry in 2006 upon graduation from college, employed as an alternative investment accountant with PFPC.
Ryan received a Bachelor of Science Degree in Business Administration with a major in accounting from Widener University, Chester, PA.
Kari L. Thompson - Control Specialist in the Shareholder Services
Mrs. Thompson is a control specialist in the shareholder services department. Kari is responsible for daily electronic wire transfers, daily cash settlements and cash movements for the mutual funds. She also works with Dave Ganley on compliance tasks.
From 1998 to 2005 Kari was employed in a similar capacity by InCap Service Company and its predecessor company Declaration Group.
Kari is proficient in all areas of mutual fund processing, including the transfer agency and accounting software programs employed by the firm as well as Microsoft Word, Excel and QuickBooks. Kari has attended Temple University, Philadelphia, PA.
Christopher F. Anci — Director
President and Director of Matrix Capital Group since 2004. For the seven years prior, Mr. Anci managed the operational unit of the BT Family of Funds at Bankers Trust in New York. Responsibilities in this role included supervision of a staff of 5 professionals who worked on 16 funds with aggregate assets of approximately $7 billion.
Chris' operational unit was responsible for all daily trade activities, shareholder record keeping and fulfillment services. Chris holds Series 4, 7, 24, 28, 53 and 63 registrations.
He earned a dual B.A. in History and Soviet Studies from Hobart College.
Howard Seligmann — Senior Vice President and Director of New Business Development
Senior Vice President of Matrix Fund Services since 2005 and Director of New Business Development for Matrix Capital Group since 2001 . Prior to Matrix, Mr. Seligmann worked at AXA – Equitable , where he developed a marketing program that focused on providing retirement plan programs for the US subsidiaries of foreign based corporations. He was also appointed the North American representative and liaison for the AXA Trans Border Network. Prior to his role at AXA, Howard worked for Berkshire International Finance as VP of International Business Development.
Howard was a founding member and Sr. Vice President of the StarTrade Mutual Fund, the first publicly offered, Israel focused open end mutual fund family in the United States.
Preceding StarTrade, Howard was Investment Attaché for the Government of Israel, Ministry of Finance - Investment Authority. At GOI he led the team that brought the Microsoft Corporation to establish their subsidiary in Israel.
Holding a degree in International Business Administration from the American University of Paris, France, he is fluent in French, German and English. Howard maintains Series 6, 63 and NJ Life Insurance Producers licenses and is an active member of the New Jersey-Israel Commission.
Dov Katz – Director, Call Center Services
Dov has more than ten years experience as a financial advisor. He has diverse qualifications ranging from traditional banking to portfolio and asset management.
Dov’s prior professional responsibilities included managing individual and business investment accounts. Before joining IDT Ventures in 2006, Dov worked for the Bank of Montreal, Bank Leumi USA and he was also a private portfolio manager.
Dov holds a bachelors in Finance from Bar Ilan University and Touro College. He is licensed as a general securities principal and as a registered State investment advisor.
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