The Risk and Compliance team at the Federal Reserve Bank of Kansas City is responsible for ensuring that the bank operates within legal and regulatory frameworks. This team monitors and assesses risks associated with financial operations, develops compliance policies, and conducts audits to uphold the integrity of the institution. Additionally, they provide expert guidance on consumer compliance and oversee supervisory practices to safeguard against potential violations.
Connor Brennan
Internal Auditor Experienced
Craig Zahnd
SVP, General Counsel & Chief C...
Dominic Decoster
Associate Risk Specialist
Hunter McCans
Supervisory/compliance Analyst
Katrina Burket Huber
Senior Auditor
Kris Hutchcraft
Risk And Compliance Manager
Mary Miller
Sr. Supervisory Compliance Ana...
Michelle Loghry
Consumer Compliance Examiner
Rhonda. Patterson
Senior Payments Specialist, Of...
Tara Humston
Senior Vice President, Supervi...
View all