Our Team at Morgan Stanley Coastal New Jersey Market

About Dwayne Barberis

Dwayne is an Executive Director and Market Executive of the Coastal New Jersey Market. Dwayne is responsible for over 150 financial advisors across 5 offices spanning the entire New Jersey coastline.

Dwayne began his career at Morgan Stanley in 2000 as a high school intern in the Albany, New York Market. In 2003, he transferred to Washington, DC and was hired in the role of client service associate helping multiple teams grow their business. In 2009 Dwayne became a Financial Advisor and quickly established himself as one of the top new Advisors at the Firm achieving the Blue-Chip award in 2009 and Pacesetter award in 2010 and 2011. In 2012, Dwayne joined the Financial Advisor Associate training program as a Training Officer, and in 2013 became the lead training officer responsible for running the National and Regional training teams.

In 2014 Dwayne was promoted to the Associate Market Manager role for the Park Avenue Plaza complex, where he assisted with the growth and daily oversight of the complex’s 220 financial advisors. In 2017 Dwayne became the branch manager of the 55 East 52nd Street location, in Midtown Manhattan. In this capacity, Dwayne was able to recruit and retain some of the top financial advisors in the industry, making the Park Plaza branch one of the largest in the firm. In 2023 Dwayne was promoted to Market Executive of the Coastal New Jersey Market.

Dwayne graduated from American University with a Bachelor of Science in Business Management and Finance. While at American, Dwayne was a 4-year starter for the wresting program. Dwayne resides in Middletown, NJ with his wife Catherine, sons John and Luke, and 2 dogs – Jeter and Lily.
Securities Agent: AK, AL, AR, AZ, CA, CO, CT, DC, DE, FL, GA, HI, IA, ID, IL, IN, KS, KY, LA, MA, MD, ME, MI, MN, MO, MS, MT, NC, ND, NE, NH, NJ, NM, NV, NY, OH, OK, OR, PA, PR, RI, SC, SD, TN, TX, UT, VA, VI, VT, WA, WI, WV, WY; Investment Advisor Representative; BM/Supervisor; General Securities Representative; Transactional Futures/Commodities; Managed Futures

About Catherine Dimon

Catherine J. Dimon, CFP®

Catherine started at Morgan Stanley in 2000 and lends her vast knowledge of the firm’s capabilities to her experience throughout her career here. She is currently the Associate Market Manager for the Coastal New Jersey market and works in partnership with the market management team to help Financial Advisors grow their business. As a connector to the firm, she is responsible for offering timely product and service ideas as well as coaching FAs and teams on practice management and team training.
Catherine has her Bachelor’s degree from the Carroll School of Management at Boston College and accreditation from the University of Sydney. She holds the Certified Financial Planner™ designation in addition to the FINRA Series 7 & 66.
She lives in Rumson, NJ with her husband, Greg, and daughters, Maggie and Janie, and enjoys exploring all the Jersey Shore has to offer. She is an avid skier and loves to travel, especially spontaneously.

About Carol Doran-Timmins

About Carol Doran-Timmins
Carol Doran-Timmins began her management career in 1982, after earning her Bachelor’s Degree in Accounting and Management from Pace University. She has an Executive Certificate in Leadership and Management from the University of Notre Dame Mendoza College of Business. She also holds her Series 3, 7, 8, 24, 63, 66 and Life, Accident and Health, Variable Life and Variable Annuities licenses.

As the Senior Complex Risk Officer of Morgan Stanley’s Coastal New Jersey Complex, she is currently responsible for a wide variety of supervisory, compliance, and risk functions related to the complex. In partnership with the Market Executive and the Risk Officers within the Complex, she is responsible for maintaining a consistent controlled environment through adherence of business ethics and practices and adherence to all applicable Federal, State and Local Laws, Morgan Stanley Wealth Management policies, and other regulations.

Carol has over forty years of experience in the Operations, Compliance and the Risk area. In addition to spending over thirty-one years of her career at Morgan Stanley as a Manager overseeing both Branch Operations and Risk, Carol also worked at UBS in NYC as a Senior Risk Officer and JPMorgan Chase as a Regional Compliance Officer.

Carol enjoys traveling, going to the theater, and watching Notre Dame Football. She lives in Old Bridge, NJ with her husband, Wayne. They have one son, George, who currently resides in Los Angeles.


Securities Agent: AK, AL, AR, AZ, CA, CO, CT, DC, DE, FL, GA, HI, IA, ID, IL, IN, KS, KY, LA, MA, MD, ME, MI, MN, MO, MS, MT, NC, ND, NE, NH, NJ, NM, NV, NY, OH, OK, OR, PA, PR, RI, SC, SD, TN, TX, UT, VA, VI, VT, WA, WI, WV, WY; Investment Advisor Representative; BM/Supervisor; General Securities Principal; General Securities Representative; Transactional Futures/Commodities; Managed Futures
Securities Agent: AK, AL, AR, AZ, CA, CO, CT, DC, DE, FL, GA, HI, IA, ID, IL, IN, KS, KY, LA, MA, MD, ME, MI, MN, MO, MS, MT, NC, ND, NE, NH, NJ, NM, NV, NY, OH, OK, OR, PA, PR, RI, SC, SD, TN, TX, UT, VA, VI, VT, WA, WI, WV, WY; Investment Advisor Representative; BM/Supervisor; General Securities Principal; General Securities Representative; Transactional Futures/Commodities; Managed Futures

About Gandolfo Taravella

Gandolfo Taravella is the Market Business Service Officer for the Coastal New Jersey Market, encompassing five branch locations. He is responsible for the market’s service organization, which includes the Support Professionals, Operations Personnel, and the Service Management Team.
Gandolfo Taravella has more than 25 years of industry experience. He started his career with Salomon Smith Barney in 1998. Throughout his career Gandolfo has held roles in Service, Operations and Risk, in various markets in New York City and New Jersey.
Gandolfo is a graduate of Baruch College in New York City and holds his 7, 9, 10, 63 and 66 securities licenses and Life and Health insurance licenses.
In his free time Gandolfo enjoys travelling with his wife and four children. He is also an avid baseball and soccer fan.
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About Anthony Viskovic

Anthony Viskovic is a Private Banker serving Morgan Stanley Wealth
Management offices in New Jersey.
Anthony began his career in financial services in 2004 and joined Morgan
Stanley in 2010 as a Regional Lending Advisor. Prior to joining the firm, he
was an Internal Banking Consultant at UBS Financial Services.
Anthony received his Bachelor of Arts degree in Economics from Rutgers
University. He, his wife, and two children live in Ocean, New Jersey. Away
from the office, Anthony’s greatest pleasure is spending time with his
family. He also enjoys being active, cooking, and traveling.

About Carolina Desiderato

Carolina is the Branch Administrator for the Red Bank Branch in the Coastal New Jersey Market. She has worked in the Financial Services industry for over 24 years, of which 20 years have been with Morgan Stanley. Carolina’s career began as a client service representative, with roles ranging from Margin, ACAT’s, Reorganization, Mutual Funds and Trading. Her experience as a client service representative allowed her to leverage her knowledge into roles within Management.

Her experience has encompassed working with the field on resolving client issues, testing and implementing new functionality for the firm’s client website, products, services and ongoing support of the digital suite of products that Morgan Stanley offers.

Carolina assisted with the creation and management of the Joint Venture Support Desk within FSG, which consisted of 40 senior level specialists who provided the latest updates relevant to the MSSB Joint Venture. She assisted with the development, creation and management of the Concierge Services Support Desk, consisting of 20 senior level specialists who supported the 730+ President’s and 300+ Chairman’s Council Members.

Carolina resides in Tinton Falls, NJ with her husband Jason and daughter Rylee. Outside of the office she enjoys time at the beach and watching Rylee on the softball field.

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Branch Address

1433 Hooper Ave
Toms River, NJ 08753
US
Branch:
(732) 244-9200(732) 244-9200
Toll-Free:
(800) 676-0996(800) 676-0996
Fax:
(732) 505-4737(732) 505-4737

Branch Manager

Alberico M. Sessa
Phone:
(732) 505-4735(732) 505-4735

Branch Address

1030 Broad Street
3rd Fl
Shrewsbury, NJ 07702
US
Branch:
(732) 389-8300(732) 389-8300
Toll-Free:
(800) 631-2221(800) 631-2221
Fax:
(732) 544-9070(732) 544-9070

Branch Manager

Matthew Beaulieu
Phone:
(732) 389-8600(732) 389-8600

Details

We are conveniently located on Broad Street across the street from Trader Joe's and right next door to Panera Bread. There is plenty of unassigned parking, so park in whatever spot is available, including our Morgan Stanley "Reserved for Clients" spots.

Branch Address

376 Tilton Rd
Northfield, NJ 08225
US
Branch:
(609) 383-2000(609) 383-2000
Toll-Free:
(800) 776-6258(800) 776-6258

Branch Manager

Megan L. Vanesko
Phone:
(609) 383-2015(609) 383-2015

Branch Address

2150 Highway 35
Suite 200
Sea Girt, NJ 08750
US
Branch:
(732) 974-5000(732) 974-5000
Toll-Free:
(800) 965-9217(800) 965-9217

Branch Manager

William Bello
Phone:
(732) 974-5002(732) 974-5002

Coastal New Jersey Branch

Find a Financial Advisor

Branch Address

20 Linden Place
Red Bank, NJ 07701
US
Branch:
(732) 936-3300(732) 936-3300
Toll-Free:
(800) 726-6971(800) 726-6971
Fax:
(732) 936-3470(732) 936-3470

Branch Manager

Dwayne Barberis
Phone:
(732) 936-3372(732) 936-3372
1When Morgan Stanley Smith Barney LLC, its affiliates and Morgan Stanley Financial Advisors and Private Wealth Advisors (collectively, “Morgan Stanley”) provide “investment advice” regarding a retirement or welfare benefit plan account, an individual retirement account or a Coverdell education savings account (“Retirement Account”), Morgan Stanley is a “fiduciary” as those terms are defined under the Employee Retirement Income Security Act of 1974, as amended (“ERISA”), and/or the Internal Revenue Code of 1986 (the “Code”), as applicable. When Morgan Stanley provides investment education, takes orders on an unsolicited basis or otherwise does not provide “investment advice”, Morgan Stanley will not be considered a “fiduciary” under ERISA and/or the Code. For more information regarding Morgan Stanley’s role with respect to a Retirement Account, please visit www.morganstanley.com/disclosures/dol. Tax laws are complex and subject to change. Morgan Stanley does not provide tax or legal advice. Individuals are encouraged to consult their tax and legal advisors (a) before establishing a Retirement Account, and (b) regarding any potential tax, ERISA and related consequences of any investments or other transactions made with respect to a Retirement Account. Individuals should consult their tax advisor for matters involving taxation and tax planning and their attorney for matters involving trust and estate planning, charitable giving, philanthropic planning and other legal matters.

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2Tax laws are complex and are subject to change. Morgan Stanley Smith Barney LLC (“Morgan Stanley”), its affiliates and Morgan Stanley Financial Advisors and Private Wealth Advisors do not provide tax or legal advice. Individuals should always check with their tax or legal advisor before engaging in any transaction involving 529 Plans, Education Savings Accounts and other tax-advantaged investments.

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3Insurance products are offered in conjunction with Morgan Stanley Smith Barney LLC’s licensed insurance agency affiliates.

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4Alternative Investments are speculative and include a high degree of risk. An investor could lose all or a substantial amount of his/her investment. Alternative investments are appropriate only for qualified, long-term investors who are willing to forgo liquidity and put capital at risk for an indefinite period of time.

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5Insurance products are offered in conjunction with Morgan Stanley Smith Barney LLC’s licensed insurance agency affiliates.

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6The returns on a portfolio consisting primarily of sustainable investments may be lower or higher than a portfolio that is more diversified or where decisions are based solely on investment considerations. Because sustainability criteria exclude some investments, investors may not be able to take advantage of the same opportunities or market trends as investors that do not use such criteria. Diversification does not guarantee a profit or protect against loss in a declining financial market.

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7Morgan Stanley Smith Barney LLC (“Morgan Stanley”), its affiliates and Morgan Stanley Financial Advisors and Private Wealth Advisors do not provide tax or legal advice. Clients should consult their tax advisor for matters involving taxation and tax planning and their attorney for matters involving trust and estate planning, charitable giving, philanthropic planning and other legal matters.

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8Morgan Stanley Smith Barney LLC (“Morgan Stanley”), its affiliates and Morgan Stanley Financial Advisors and Private Wealth Advisors do not provide tax or legal advice. Clients should consult their tax advisor for matters involving taxation and tax planning and their attorney for matters involving trust and estate planning, charitable giving, philanthropic planning and other legal matters.

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9Tax laws are complex and are subject to change. Morgan Stanley Smith Barney LLC (“Morgan Stanley”), its affiliates and Morgan Stanley Financial Advisors and Private Wealth Advisors do not provide tax or legal advice. Individuals should always check with their tax or legal advisor before engaging in any transaction involving 529 Plans, Education Savings Accounts and other tax-advantaged investments.

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10Morgan Stanley Smith Barney LLC is a registered Broker/Dealer, Member SIPC, and not a bank. Where appropriate, Morgan Stanley Smith Barney LLC has entered into arrangements with banks and other third parties to assist in offering certain banking related products and services.

Investment, insurance and annuity products offered through Morgan Stanley Smith Barney LLC are: NOT FDIC INSURED | MAY LOSE VALUE | NOT BANK GUARANTEED | NOT A BANK DEPOSIT | NOT INSURED BY ANY FEDERAL GOVERNMENT AGENCY

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11Morgan Stanley Smith Barney LLC is a registered Broker/Dealer, Member SIPC, and not a bank. Where appropriate, Morgan Stanley Smith Barney LLC has entered into arrangements with banks and other third parties to assist in offering certain banking related products and services.

Investment, insurance and annuity products offered through Morgan Stanley Smith Barney LLC are: NOT FDIC INSURED | MAY LOSE VALUE | NOT BANK GUARANTEED | NOT A BANK DEPOSIT | NOT INSURED BY ANY FEDERAL GOVERNMENT AGENCY

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Morgan Stanley is an equal opportunity employer committed to diversifying its workforce (M/F/Disability/Vet).

The investments and products listed may not be appropriate for all investors. Morgan Stanley Smith Barney LLC recommends that investors independently evaluate particular investments or products, and encourages investors to seek the advice of a Financial Advisor or Private Wealth Advisor. The appropriateness of a particular investment or product will depend upon an investor's individual circumstances and objectives.

Morgan Stanley Wealth Management is the trade name of Morgan Stanley Smith Barney LLC, a registered broker-dealer in the United States.

© 2022 Morgan Stanley Smith Barney LLC. Member SIPC.

Awards Disclosures
CRC 6491812 04/2024