The Risk and Compliance team at Sunrise Banks is responsible for identifying, assessing, and mitigating risks to ensure the bank operates within legal and regulatory frameworks. They develop and implement compliance programs, conduct audits, and monitor operations to uphold standards of financial integrity and protect the institution's reputation. This team plays a crucial role in fostering trust and accountability while supporting the bank’s mission of financial empowerment for the community.
Andrew Larson
Director Credit Underwriting
Jill Longnecker
Audit Manager
Pamela Carl
Svp, Director - Compliance & E...
Patrick Timmers
Senior Internal Auditor
Stacy Studiner
Complaince Manager - Core Bank
Tammy Cooper
Sr. Investigator - Monitoring ...
Tammy Peterson
Lead Auditor
Teri Hodgett
Chief Risk Officer