MC

Mary Fran Callahan

Chief Risk Officer at Consumers Credit Union

Mary Fran Callahan has a diverse work experience spanning several reputable companies. Mary Fran began their career at Arthur Andersen & Co. in 1983, where they worked as a Senior Planning Analyst in Strategic Planning until 1987. In 1988, they joined St. Paul Federal Bank, now known as US Bank, as a Corporate Vice President and Director of Treasury Operations. Mary Fran continued to excel in their role until 1999 when they transitioned to Zurich North America as a Senior Vice President and Treasurer. At Flagstar Bank, they served as a Senior Vice President and Treasurer from 2006 to 2008. Following this, Mary Fran joined Wespath Investment Management as the Managing Director of Investment Management in 2008 and later moved to Consumers Credit Union in Illinois in 2013. Mary Fran held multiple roles with Consumers Credit Union, including Chief Risk Officer, CFO of Premier Credit Union (which merged with Consumers Credit Union), and VP-Strategy & Risk Management. Mary Fran'sresponsibilities at Consumers Credit Union encompassed various aspects of risk management such as enterprise risk management, vendor coordination, compliance, BSA, and audit. Mary Fran remained with Consumers Credit Union until 2020. Throughout their career, Mary Fran has demonstrated expertise and leadership in the areas of risk management, treasury operations, investment management, and strategic planning.

Mary Fran Callahan holds a Master of Business Administration (M.B.A.) degree from Loyola University Chicago in the field of Business. Mary Fran also possesses a Bachelor's Degree in English from the University of Notre Dame. In addition to their academic qualifications, Mary Fran Callahan has obtained several certifications throughout their career. Mary Fran holds the Certified Fraud Examiner (CFE) designation from the Association of Certified Fraud Examiners (ACFE) since November 2016. Mary Fran also obtained the Certified Treasury Professional (CTP) certification from the Association of Financial Professionals in June 2001. Furthermore, they have acquired the Series 65 certification from FINRA in November 2011 and both Series 7 and Series 63 certifications from FINRA in April 1993.

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