Our Team at Morgan Stanley New York PWM East - 235 Market

About Patrick Langone

Patrick Langone serves as Regional Manager of the Greater New York City Market, responsible for a network of 1,000 financial advisors, support professionals and business managers across four Manhattan offices. Patrick is also the New York City Private Wealth Management Regional Manager, a boutique segment within Morgan Stanley that serves the needs of ultra high net worth individuals, their families and their foundations.
Patrick has over two decades of experience in wealth management, previously serving as Market Executive to the Park Avenue Plaza Market in New York City. He has held a variety of roles at Morgan Stanley, starting as a Financial Advisor in Massachusetts. Once Patrick was elevated into field leadership, he managed offices across the Northeast, in Massachusetts, Rhode Island, Connecticut, Vermont and New Hampshire.
Patrick holds a BSBA in finance and a minor in marketing from Suffolk University in Boston. Patrick is an associate trustee at St. John’s Prep in Danvers, Massachusetts. He lives in Mamaroneck, New York, with his two sons, David and Thomas.

About George Manuelian

Drawing on more than three decades of financial advisory and Field Leadership experience, George Manuelian serves as Market Executive of the PWM East market in New York City.  Responsible for running one of Morgan Stanley’s largest markets at the firm, George supports elite Private Wealth Management teams in their efforts to grow their practices and address the complex, sophisticated needs of client’s families, their businesses, and their philanthropic enterprises.  

Leading up to his current role, George has held field leadership assignments as a Market Manager in New Jersey, Michigan and New York City over the last decade. Among his many career highlights, George was named the Complex Manager of the Year for all Morgan Stanley Wealth Management in 2008, and the Ridgewood Complex he led was named Complex of the Year. His experienced perspective and commitment to the trust based advisor-client relationships have helped maintain our position as one of the fastest growing markets in the country.

George Manuelian graduated from the W. Stillman School of Business at Seton Hall University with a B.S. in Finance. He has guest lectured at Seton Hall University Business School, Montclair State University, Ramapo College and various wealth management conferences and community events. His charitable passions are the Morgan Stanley Children’s Hospital in New York City, the Seton Hall Pirate Blue Fund and the Institution for Educational Advancement for Autistic Children in New Jersey.

George resides in Bergen County, New Jersey, with his wife and three children.
Securities Agent: GA, DC, VI, OR, NY, NE, MN, MA, KY, FL, DE, NM, MD, VT, TN, PA, IL, CT, WY, WV, PR, KS, HI, AR, WI, UT, RI, NH, CA, AZ, VA, SD, MT, MI, WA, TX, OK, OH, NJ, ME, IN, IA, CO, AL, AK, NV, SC, ND, MS, MO, NC, LA, ID; BM/Supervisor; General Securities Representative; Investment Advisor Representative; Managed Futures

About David Budkins

David Budkins brings 25 years of diverse financial services industry experience to his position as the Associate Market Manager for PWM East in the greater New York City market. In this role, Dave is responsible for revenue growth strategies, managing the Financial Advisor Associate Program, attracting and retaining top industry talent, and all other aspects of running the business. David is a passionate leader who brings his experience in practice management and client engagement to bear through partnering with advisors to support the growth of their businesses. He has a particular knack for consulting on branding and has brought together partnerships with some of the largest teams in the industry.

Prior to his current role, Dave was Head of Advanced Advisor Development for Morgan Stanley Wealth Management, where he led a team responsible for practice management strategies and conferences. He also interviewed hundreds of top advisors across the firm to gain firsthand insight into how they built and scaled their practices to optimize for organic growth. The proprietary practice management platform he developed was named the Top Advisor Development Program by the MMI/Barron’s Industry Awards, and he oversaw the enhancement of the firm’s recognition programs, including Barron’s and Forbes, and the modernization of the firm’s designations platform. 

Prior to this position, David was the Head of Home Loans Marketing for the Private Banking Group and an Associate Private Banker within NY Metro, covering over 150 advisors and their clients. Before Morgan Stanley, David held several roles in sales and business development at Citigroup and Experian.

David has an MBA from Fordham University, and a bachelor’s of science in business
management from Quinnipiac University. He lives in Greenwich, Connecticut, where he is an avid golfer, baseball coach and supportive “girl dad” at his daughters’ dance recitals.

About Tyres Jones

Drawing on more than 15 years of experience supporting Morgan Stanley Financial Advisors, Tyres Jones serves as Associate Manager of the Morgan Stanley Private Wealth Management Market in New York City. Tyres works closely with some of the most accomplished Private Wealth Advisors in the United States, supporting their efforts to grow their practices and deliver an outstanding overall wealth management experience to their clients.

Prior to his current role, Tyres served as the Associate Market Manager for Morgan Stanley’s 399 Park Avenue Market. In addition to developing relationships with leading Financial Advisory teams, his focus was on facilitating the integration of firm strategy and modern wealth management practices. Tyres earlier served as Business Development Manager for the firm’s Chicago West Complex, where he was responsible for sales support and campaigning initiatives. Tyres began his career as an Analyst in Morgan Stanley’s Minnesota Dakota Market, supporting efforts to drive revenues and working closely with the market’s risk managers to reduce risk exposures.

Tyres earned a B.S. in business administration with a concentration in finance from Seton Hall University and is currently a Level II candidate for the Chartered Financial Analyst (CFA®) designation. He is a huge fan of the New York Mets and Green Bay Packers.

About Vincent Cioffi

As Senior Risk Officer for the Private Wealth Management New York market, Vincent Cioffi focuses on managing enterprise risk while partnering with our Private Wealth Management teams to support their ultra high net worth clients. Vincent and his team regularly navigate complex situations with a multi-jurisdictional lens.
Vincent joined Morgan Stanley in 2011 in the Compliance Division, where he supported the business in navigating the ever-evolving regulatory landscape. In 2017, he joined the Risk organization and was promoted to Senior Risk Officer in 2022. Vincent is experienced in working across multiple markets in New York City and provides coverage in a diverse range of business lines at the firm.

Explore Career Opportunities at Morgan Stanley Private Wealth Management

Private Wealth Advisors

Supported by extraordinary resources to address the unique needs of their clients and grow their businesses, Private Wealth Advisors are at the center of our franchise. Learn more about the opportunities available to you and your clients.

Experienced Support Professionals

The skilled professionals who support our Private Wealth Advisors are essential to delivering an outstanding service experience to our clients. Learn more about bringing your talents to our office.

New York PWM East - 235 Branch

Find a Financial Advisor

Branch Address

55 East 52nd Street 10th
Fl
New York, NY 10055
US
Branch:
(212) 818-0800(212) 818-0800
Toll-Free:
(800) 323-7788(800) 323-7788
Fax:
(212) 503-1166(212) 503-1166

Branch Manager

Patrick Langone
Phone:
(212) 903-7787(212) 903-7787
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.

For more information, please see the Morgan Stanley Smith Barney LLC Client Relationship Summary.

Back to top



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.

Back to top



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

Back to top



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.

Back to top



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

Back to top



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.

Back to top



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.

Back to top



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.

Back to top



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.

Back to top



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

Back to top



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

Back to top



Morgan Stanley Smith Barney LLC and its affiliates and their employees (including Financial Advisors and Private Wealth Advisors) are not in the business of providing tax or legal advice. These materials and any statements contained herein should not be construed as tax or legal advice.

Individuals should consult their personal tax advisor or attorney for matters involving taxation and tax planning and their attorney for matters involving personal trusts and estate planning.

Morgan Stanley Smith Barney LLC does not accept appointments nor will it act as a trustee but it will provide access to trust services through an appropriate third-party corporate trustee.

Morgan 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

© 2025 Morgan Stanley Private Wealth Management, is a division of Morgan Stanley Smith Barney LLC. Member SIPC.


Awards Disclosures | Morgan Stanley
CRC 4587905 (9/2025)