Drew Lukas, MBA, currently serves as the Associate Director and Head of Standard of Care and Sales Practice Oversight at RBC Wealth Management, where responsibilities include leading a regulatory compliance team to enhance supervisory controls in alignment with FINRA's Regulation Best Interest requirements. Prior to this role, Drew held several positions at Ameriprise Financial Services, LLC, including Senior Compliance Officer and Compliance Manager, focusing on internal supervisory controls and compliance inspections across the United States. Drew’s earlier experience includes operations roles and mentorship at Minnesota Thunder PLUS, along with a solid educational background featuring an MBA in Financial Management Services from the University of Minnesota - Carlson School of Management and a Bachelor’s degree in Business Administration from Hamline University.
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