The Risk Management and Compliance team at U.S. Bancorp Asset Management is responsible for ensuring that the company's investment strategies and operations adhere to regulatory standards and internal policies. This team identifies, assesses, and mitigates potential risks while overseeing compliance with applicable laws, thus safeguarding the firm and its clients' interests. Through rigorous analysis and reporting, they aim to maintain the integrity of investment processes and uphold the trust placed in the firm's management of fixed income investment solutions.
View all