The Compliance and Regulatory Affairs team at Webster Bank is responsible for ensuring the bank adheres to all applicable laws and regulations, safeguarding customer interests and maintaining trust. This team works collaboratively to identify compliance risks, conduct audits, and implement policies that promote ethical practices and transparency across the organization. Their efforts help uphold the bank's commitment to personalized, customer-focused solutions while mitigating regulatory challenges.
Dawn Arenella
Managing Director, Compliance ...
Gregory Mazzella
Lead Director IT Audit
Hafssa Waheed
Compliance Manager
Janet Stevenson
Information Technology Audit M...
Kristy Berner
General Counsel & Corporate Se...
Nelli Carlson
Compliance Manager
Samantha Lavorgna
Audit Manager
Tamra A. Nier
Senior Fraud Investigator
Thomas Melchior
Manager - Credit Risk Review