As a senior manager with Rehmann’s financial institutions team, Beth provides audit and consulting services to a variety of financial institutions, with a focus on community banks. She serves as a firm-wide resource for regulatory compliance, Bank Secrecy Act (BSA) and loan review related matters. Beth’s specialized knowledge and on-site involvement enables her to efficiently review her clients’ processes and procedures, identify any weaknesses and propose solutions to ensure they are in compliance as they prepare for regulatory examinations.
Beth leads the Firm’s regulatory compliance services and is a Firm-wide resource for training, technical updates and new procedures related to regulatory compliance, Bank Secrecy Act (BSA), and loan review related matters.
Beth began her career in 1980 as a Bank Examiner for the Federal Deposit Insurance Corporation and conducted regulatory examinations in the areas of safety and soundness, regulatory compliance, Bank Secrecy Act, anti-money laundering, and HMDA verification assessments. In 1996, she was hired by a regional Michigan bank where she served as senior vice president – risk officer until joining Rehmann in 2012.
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