Mark is Vice President, Senior Audit Manager on the Anti-Money Laundering Compliance team within the Corporate Audit Services at U.S. Bancorp. Mark currently manages multiple teams of audit staff, as well as provides AML and Economic Sanctions thought leadership to his group and the audit department as a whole. He has over 17 years’ experience advising financial institutions and providing effective challenge and assurance on sustainable operations and business practices that are in compliance with international and domestic Anti-Money Laundering and Economic Sanctions regulatory risks and requirements. Mark’s tenure in financial services also includes 13 years at Capital One in various risk, compliance management and audit roles. He has a Bachelor’s degree in Economics, a double minor in Psychology and Sociology, and currently holds the Certified Anti-Money Laundering Specialist - Audit (CAMS Audit) and Certified Information Protection Professional (CIPP-US) designations. Prior to his career in financial services, Mark was in hospital and healthcare administration for over a decade. He currently lives outside of Richmond, VA, with his wife and two Labrador retrievers.