Instructor – Keith Monson
Keith Monson serves as CSI’s chief risk officer. In this role, Monson maintains an enterprise-wide compliance framework for risk assessment and reporting, as well as other key components of CSI’s corporate compliance program. With over 30 years of banking experience, he has a wide range of experience in the compliance arena, having served as a chief compliance officer for both large and small financial institutions. His experience also includes assisting financial institutions as a compliance consultant and most recently as a chief risk officer. Keith also served as a Chairman of the CRCM Advisory Board and was a former member of the Certification Council for the Institute of Certified Bankers. In addition, he recently served as the Co-Chairman of the Enterprise Risk Management Working Group and has written for and served as the Chairman of the Editorial Advisory Board – Bank Compliance Magazine and was a past member of the Compliance Executive Committee and the Regulatory Compliance Conference Advisory Committee for the American Bankers Association. Keith graduated from Truman State University and holds a Bachelor of Science degree in Finance. Keith has served on the CFT Compliance School faculty for over 30 years.
|Course Title||Start Date||Start Time||End Date||Delivery Type||Delivery Option||Instructor / Location||Price|
|Federal Compliance School for Banks and Credit Unions 4 Program Series OnDemand||Any||Any||Any||School||On-Demand||Carl Pry, Keith Monson, and Patti Joyner||$2,095.00||Course Title||Start Date||Start Time||End Date||Delivery Type||Delivery Option||Location||Price|