The Compliance and Risk Management team at Cadence Bank is responsible for ensuring that the bank adheres to regulatory standards, minimizing risks associated with financial operations, and protecting against fraud. This team conducts thorough compliance analyses, oversees fair lending practices, manages third-party risks, and coordinates business continuity planning, all to safeguard the integrity of the bank’s operations and enhance customer trust.
Cary Torbert III
Compliance Analyst II
Cheryl Burkhalter
IT Risk Analyst
Drew Cristo
Vice President - Risk Analytic...
Holly Alemond
SVP Director Of Third Party Ri...
Jonathan Ramsey
Avp, Fair Lending Compliance O...
Justin Lovitt
Credit Risk Officer - Corporat...
Lana Blackmon
SOX Risk Manager
Leia Windham
Compliance Analyst II
Lisette Johnson
Vice President Senior Complian...
Tiffany Mabry
Fraud Analyst
View all