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Tommie Richardson

Model Risk Management Director at Optum Bank

Tommie Richardson has a diverse work experience spanning several notable companies. Their most recent position is as the Convene CEO Forum Chair at Convene, where they work with Christian CEOs and Business Owners to mentor and support them in their journey of success and leadership. Prior to that, Tommie worked as a Model Risk Management Director at Optum Bank, overseeing the bank's model risk governance framework and program. They also served as the Financial Crimes Director at First National Bank of Omaha, managing the Financial Crimes Model Risk Management program. Additionally, Tommie held roles such as Sr. Credit Risk Analyst at First National Bank of Omaha, Database Program Manager at Mutual of Omaha, Sr. Technology Data Analyst at TD Ameritrade, and Sr. Compliance Research Analyst and Sr. Business Analyst at TD Ameritrade. Overall, their experience encompasses various areas such as risk management, analytics, compliance, and client experience improvement.

Tommie Richardson completed a Master of Business Administration (MBA) degree from Midland University in 2020. Prior to that, they graduated from the University of Nebraska at Omaha in 2008 with a degree in Business, specializing in Marketing Management. In terms of additional certifications, Tommie obtained a Real Estate Broker/Sales Agent license from the Nebraska Real Estate Commission in June 2021. They also obtained a Six Sigma Yellow Belt certification from Midland University in September 2020. In March 2020, Tommie earned the Certified Anti-Money Laundering Specialist (CAMLS) certification from ACAMS. They obtained a Certification of Business Excellence from the University of Nebraska at Omaha in March 2018. Prior to that, Tommie earned various certifications from FINRA, including the Series 34 - Retail Off-Exchange Forex Exam in January 2009, the Series 3 - National Commodities Futures Exam in October 2008, the Series 4 - Registered Options Principal Exam in August 2008, the Series 24 - General Securities Principal Exam in May 2008, the Series 55 - Equity Trader Qualification Examination in June 2006, the Series 66 - Uniform Combined State Law Exam in October 2005, and the Series 7 - General Securities Representative Exam in August 2005.

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Previous companies

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Timeline

  • Model Risk Management Director

    August, 2021 - present

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