The Risk Management and Compliance Team at Western & Southern Financial is responsible for ensuring that the company adheres to all regulatory requirements and internal policies. This team actively assesses and mitigates potential risks associated with financial services, conducts audits, and develops compliance strategies to protect the organization’s integrity and reputation while supporting its commitment to ethical practices in the insurance and investment sectors.
Abbey Blank Rolf
Director, Corporate Compliance
Carol Wanstrath
Manager, Corporate Compliance
Jacob Steuber
Vice President, Actuarial Anal...
Jennifer Schneider
Senior Underwriter
Kevin L. Howard
Vice President & Deputy Genera...
Lindsey Leavitt Hugh...
Director, Insurance Compliance
Rod Snyder
Vice President & Chief Audit O...
Sarah Sparks Herron
VP And Associate General Couns...
Scott Henry
Senior Counsel - Investments
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