Senior Risk and Compliance Analyst
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I am a seasoned Risk and Compliance Professional with over 20 years of experience helping financial institutions, fintechs, and service providers strengthen their governance, reduce exposure, and stay audit-ready. My expertise spans enterprise risk management, third-party/vendor oversight, regulatory compliance (OCC, CFPB, BSA/AML, SOC 2, ISO 27001, NIST CSF), fraud prevention, and operational resilience.
Throughout my career, I’ve built and enhanced risk frameworks, dashboards, KRIs/KPIs, RCSAs, and compliance programs that deliver measurable results—such as reducing non-compliance incidents, improving SLA adherence, and increasing assessment completion rates. I am hands-on with tools like RSA Archer, ProcessUnity, Workiva, JIRA, Tableau, and Power BI, and skilled at turning complex data into executive-level insights.
I’m passionate about collaboration and problem-solving, whether it’s partnering with stakeholders to resolve regulatory issues, guiding organizations through audits and exams, or leveraging analytics to identify emerging risks.
Business Risk & Control Senior Associate, Wells Fargo, 01/2020 –11/ 2024
Various Roles: Business Liaison Analyst II, Analytics Consultant I, Operations Analyst III | 2011 – 2016
I am a graduate of Simpson College with a Bachelors of Arts in Sports Administration with a Business Administration minor.