The Risk Management and Compliance team at Stock Yards Bancorp is responsible for identifying, assessing, and mitigating risks across the organization, ensuring adherence to regulatory standards and internal policies. They play a crucial role in safeguarding the bank’s assets, enhancing operational integrity, and promoting a culture of compliance through proactive risk management strategies and training initiatives. This team collaborates with various departments to align risk practices with the bank’s commercial and wealth management objectives.
Carl G. Herde
Director
Donna L. Heitzman
Director
J. Mccauley Brown
Director
John L. Schutte
Director
Mark J. Kennedy
Director of Sales & Growth Ini...
Norman Tasman
Director
Paul J. Bickel III
Director
Richard A. Lechleite...
Director
Stephen M. Priebe
Lead Director
William M. Dishman I...
Executive Vice President, Chie...
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