
Founder and CEO

Head of U.S Office

Chief Financial Office

Chief Operating Officer

Asset Manager

Senior Analyst

Revenue Manager

CPA Controller
Erez brings nearly three decades of extensive experience in finance, asset management, and real estate. He began his career as a portfolio manager, working with leading investment firms and major banks in Israel. In 2000, Erez founded Tandem Capital, an Israel-based investment firm that quickly became a leader in providing asset management services and financial vehicles for high-net-worth individuals, corporations, and institutions. In 2017, Erez expanded operations by establishing an office in New York to create new growth opportunities for the company within the real estate sector. Through a range of private debt funds under Golden Bridge, the company has since facilitated the financing of hundreds of projects across the New York metropolitan area, totaling more than $2 billion in value. Erez is a recognized thought leader in his field, with his reports frequently published and interviews featured in prominent media outlets. He holds an Executive Master’s Degree in Finance from the Zicklin School of Business, City University of New York, where he currently serves on the advisory board of the real estate faculty.
Moshe Katz is a Certified Public Accountant with extensive experience in accounting, taxation, and investment management. He holds a Bachelor’s degree in Accounting and Economics, and a Master’s degree in Business Taxation (MBT). Moshe has held significant roles, including Senior Tax Inspector at the Tax Authority and Manager of the Tax Department in the Investment Division at Clal Insurance. During his tenure, he developed deep expertise in tax and investment strategies. For over a decade, Moshe was a key member of the investment committees for Clal Insurance’s nostro, pension, and provident funds. He played a pivotal role in executing numerous direct transactions and alternative investments across various sectors, including credit, real estate, equity, investment funds, and hedge funds. His responsibilities spanned from planning and structuring optimal investment frameworks to managing ongoing taxation and accounting aspects, ensuring effective realization of investments. Moshe joined Tandem in 2021, manages the finance department, and is a member of the Golden Bridge Fund’s credit committee. He is committed to driving financial excellence and strategic growth within the organization
Joseph brings a wealth of real estate experience spanning multiple sectors. He began his career in PR and government before gaining expertise in the real estate debt market with a startup focused on modernizing CMBS. Joseph later transitioned to the equity side as a financial analyst for a family office specializing in home flipping and also worked in commercial leasing and investment sales in the Jerusalem office market. At Golden Bridge, he leads the underwriting of loans (exceeding $1 billion in loans since he joined the company), presents opportunities to the Investment Committee and works closely alongside our appraisers, engineers, and legal teams in the New York area. A native New Yorker, Joseph holds a Bachelor’s degree in Liberal Arts from New York University and an MBA in Real Estate Finance from The Hebrew University in Jerusalem.
As Head of Revenue at Golden Bridge Fund, Karina brings a unique combination of deep financial expertise, systemic thinking, and nearly a decade of experience in operations and management at leading investment firms in Israel. She holds a Bachelor’s degree in Industrial Engineering and Management. In her role, Karina is responsible for all of the fund’s banking relationships, oversees the day-to-day operations of the loan portfolios, and ensures the highest standards of accuracy, transparency, and efficiency. She also leads the fund’s monthly collections process, maintaining a stable cash flow and strong relationships with borrowers. Karina manages the fund’s ongoing relationships with external vendors and professionals in New York, including appraisers, engineers, attorneys, and others. As a member of the fund’s credit committee, she brings sharp operational focus and the ability to analyze every transaction in depth—both from financial and operational perspectives. Her professional skills, accumulated experience, and pragmatic approach make her a key player in driving the fund’s growth and success.
Previously, she oversaw the management of hedge fund portfolios at Apex-Israel (formerly Tzur Management) and provided accounting and administration services to those funds. Moran has expertise in financial reporting, monthly fund valuation and preparing tax considerations for investors. In her role as a controller, she manages financial and regulatory aspects of the fund, as well as monitoring deposits and withdrawals. Moran holds a BA in business Management and Accounting from the College of Management and is a certified public accountant.
Sarah is the office manager for the New York office of Golden Bridge Funding LLC, where she plays a key operational and communication role in supporting the firm's lending business. She oversees daily office administration and serves as a central point of coordination between clients, internal teams, and the company's headquarters. In her role, she manages customer communications, responds to client inquiries, and ensures information flows efficiently and accurately across all parties. Sarah is also responsible for maintaining organized loan files and tracking loan processes from start to end. This includes coordinating with third-party professionals such as appraisers, attorneys and other service providers to help ensure timely and orderly transaction process. Through her attention to detail and strong coordination skills, she helps keep the NY office operations running smoothly and supports the firm's commitment to responsive and efficient client service.
Ryan brings a decade of real estate private credit experience to Golden Bridge, where he is responsible for the sourcing, underwriting, and execution of loan opportunities across all geographies and asset types. Before joining Golden Bridge, he worked at Calmwater Capital where he began his career in real estate, starting as an Analyst and ultimately serving as Vice President of Originations, completing over $1 billion in transaction volume. Prior to originations, Ryan spent time in fund accounting at State Street before joining Calmwater's capital formation team, where he helped raise the firm's first private debt fund. Ryan holds a Bachelor of Commerce in Accounting from Concordia University in his hometown of Montreal, Canada.
Victoria Levin has over 30 years of experience in operational management within the financial sector and banking, specializing in Back Office operational processes. Throughout her career, she has gained extensive knowledge and expertise in managing financial and banking processes, enabling her to address complex challenges and provide creative and efficient solutions. Victoria has managed teams and worked in leading international companies and major banks in Israel, such as Oppenheimer, HSBC, Discount Bank and FIBI. Since 2022, she has been working at Tandem Capital, bringing with her extensive experience in building processes for operational departments. She brings extensive experience in managing operational systems and implementing regulatory processes, deep knowledge of both domestic and international regulations and has significant experience in managing Compliance and AML systems for operational departments. Victoria is highly responsible and ensures that all processes are clear and efficient for all parties involved. She works to ensure effective collaboration and simplify processes, while maintaining high-quality and accurate performance in all situations.
Gal is engaged in the operations of GB Fund, with responsibility for handling investor and agent requests, managing operational processes, and ensuring compliance with internal procedures and regulatory requirements. She brings prior experience in regulated financial environments, including transaction review, risk-based judgment, and ongoing work with institutional entities and business clients. Gal is characterized by strong operational accuracy, a high level of responsibility, and the ability to manage multiple interfaces within a dynamic financial environment.