The Compliance and Risk Management team at Minnesota Life Insurance Company, part of Securian Financial, is responsible for ensuring adherence to regulatory standards and internal policies while identifying and mitigating potential risks. This team conducts audits, implements compliance strategies, and provides legal guidance to protect the company's interests and uphold its commitment to ethical practices and operational integrity.
Bernice Arias
Manager, Corporate Compliance
Bob Ehren
Senior Vice President, Risk, A...
Chris Wolf
Senior Audit Analyst
Erich Axmacher
Second Vice President, Corpora...
Jamie Carlson
Senior Compliance Analyst
Matthew Stortz
Assistant General Counsel
Matthew Wille
Regulatory Compliance Manager
Rod van Genderen
Head Of Operational Risk
Samuel Courtney
Compliance Senior Analyst
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