Jessica A. Tripp
Supervision of Day-to-Day Finance Activities, Including AP and AR and Main Point of Contact for Financial Audit.
Biography of Jessica A. Tripp
Jessica joined The Trust in 2016 as Senior Accountant and and was promoted to Finance Manager in 2017. Jessica had previously worked at Ocean Spray Cranberries serving as an Internal Auditor and Staff Accountant. Jessica holds a Bachelor of Science degree in Accounting from University of Massachusetts and is a certified Paralegal.
Colleen A. Cranshaw, CPA
Monthly Close, Financial Reconciliations, Member Billing Questions, Payroll Backup
Biography of Colleen A. Cranshaw, CPA
Colleen A. Cranshaw re-joined The Trust in 2017, after a 1.5 year hiatus, as Senior Accountant. She is a Certified Public Accountant and brings a wealth of experience in both public and private accounting. Before joining The Trust, Colleen served as Senior Accountant Internal Reporting for CVS Caremark and prior to that worked at FM Global as Accounts Receivable Accountant III and Financial Report Accountant III. Colleen holds a Bachelor of Science Degree in Accounting from University of Massachusetts.
Accounting Associate II
Billing and Accounts Receivable
Biography of Marilyn Andreozzi
Marilyn joined The Trust in 2010 as Administrative & Financial Assistant and now serves as Accounting Associate II. Prior to joining The Trust, Marilyn worked as an Office Manager for Allied Electrical Group and PRO Physical Therapy & Sportscare. Marilyn graduated from The Katharine Gibbs School as a Medical Executive Assistant and also holds an Associate Degree from Community College of Rhode Island.
Accounting Associate I
Lynne M. Orr
Accounts Payable and Cash Receipts
Biography of Lynne M. Orr
Lynne M. Orr joined The Trust in 2015 as Accounting Assistant and now serves as Accounting Associate I. Lynne has more than 25 years of accounting experience, most recently serving as Finance Associate for Alent, Inc. where she earned “Performance Excellence” awards 2010-2014. Lynne is experienced in all aspects of Accounts Payable, including obtaining W-9 forms and preparing year-end 1099’s, as well as cash receipts and general ledger maintenance.