The Risk Management and Compliance team at Byline Bank is responsible for identifying, assessing, and mitigating risks across the organization to ensure regulatory compliance and protect the bank's assets. This team oversees fraud prevention, regulatory adherence, and information security governance, working collaboratively to develop and implement risk management frameworks that safeguard the bank's operations while supporting its mission to serve the community effectively.
Adam Kaplan
Avp, Compliance Officer
Chris Roland R.
Officer, Senior Fraud Analyst
Diane Warner
Vice President And Compliance ...
Donn M Grizzle
Regulatory Compliance, AVP
Elliot Schwartz
Fraud Analyst
Joshua Sanford
Information Security Governanc...
Legenia Hearns
Fraud Investigator
Michelle Johnson
EVP & Chief Risk Officer
Michelle Johnson Cis...
Chief Risk Officer
Valerie Saf
Fraud Analyst
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