Craig Long, CAMS, serves as the Director of Enterprise Risk Management at Cetera Financial Group since August 2018. Prior experience includes holding the role of Chief Compliance Officer and BSA/AML Officer at GLOBALT Investments under Synovus from December 2016 to August 2018, and serving as VP of Governance, Risk & Compliance at LPL Financial from December 2014 to November 2016, where responsibilities included acting as AML Officer for the Private Trust Company. Craig's extensive career began at JPMorgan Chase & Co. as a Compliance Manager, followed by significant compliance leadership roles at AIG, culminating in the position of Chief AML & Economic Sanctions Officer. Craig's earlier experience also includes serving as Chief Compliance Officer at The Huntington Investment Company.
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