Christine Hontz is a Compliance Manager at U.S. Bancorp Asset Management, with a strong background in risk management and compliance across several financial institutions. Previously, Christine served as a Risk Consultant at U.S. Bank and a Risk Management Manager at Ameriprise Financial Services, Inc., where responsibilities included developing compliance testing, managing regulatory inquiries, and leading operational audits. Earlier roles at Voya Financial and Wells Fargo Advisors involved business analysis and client support, focusing on regulatory compliance and operational efficiency. Christine holds an Associate's Degree in Office Careers from Hennepin Technical College.
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