Rodney brings 30 plus years of experience in the financial services and securities industries to his role as Senior Vice President and Chief Compliance Officer.
Currently, Rodney also serves as the bank's BSA, OFAC and Privacy Officer. He is a member of First American Trust's Enterprise Risk Management Committee (ERMC) and the Officer's Trust and Investment Committee (OTIC).
Prior to joining First American Trust in 2010, Rodney held compliance and operations management roles at several banks including Union Bank and U.S. Bank.
Rodney is a Certified Regulatory Compliance Manager (CRCM) and Certified Fiduciary & Investment Risk Specialist (CFIRS™). He has also held Series 3, 7 and 24 securities industry licenses.