Senior leader in compliance, audit, and ERM reporting to the audit committee and board; well-versed in developing robust governance frameworks, driving process improvements, mitigating risks, and ensuring regulatory compliance organization-wide. Over 20 years of professional experience in multiple progressive titles for financial services and consulting firms, driving meaningful change, implementing process improvements, and continuously optimizing operational effectiveness. Extensive experience engaging with board members and teams across complex, diverse organizational environments while aligning activities with strategic objectives.
Listed skills include Internal Controls, Internal Audit, Quality Assurance, Hedge Funds, and 9 others.