The Risk Management and Compliance Team at HomeTrust Bank is dedicated to identifying, assessing, and mitigating risks while ensuring regulatory compliance across the institution. This team conducts internal audits, monitors credit portfolios, and develops policies to safeguard the bank’s operations and assets. By fostering a culture of compliance and risk awareness, they help maintain the bank's reputation and protect its customers' interests.
Allen Helms
SVP Senior Credit Officer Busi...
Crcm Molly Ponder
Svp, Director Of Compliance & ...
Devin Crump
Portfolio Monitoring Analyst
Emily Nickell
Operations Reconciliation Spec...
Greg Sullins
SVP / Director Of Loan Review
Karen Roach
BSA Fraud Analyst
Kevin Pashke
SVP Senior Credit Officer
Richard Gallahue
Commercial Credit Manager
Scott Szmania
Vice President - SBA Sr. Credi...
Sonnya Fanale
Svp, Director Of Loan Operatio...