CE

Constance E.

Executive Director

Constance E. has over three decades of experience in compliance and risk management within the financial services sector. Currently serving as Executive Director at Wells Fargo since August 2009, Constance has held various leadership roles, including Control Management Director, overseeing the development and maintenance of the Institutional Broker Dealer Supervision Framework. Previous positions at Wells Fargo include Executive Director for CIB Market Conduct & Supervision and Director of Senior Compliance Officer, where responsibilities involved coordinating compliance initiatives and acting as a liaison for regulatory and audit matters. Prior to Wells Fargo, Constance worked at Bank of America and held positions at Kroger and RE/MAX. Constance holds a Bachelor of Business Administration in Management from Strayer University.

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