Jeremy Lankster has more than a decade of risk management experience. He has worked with national and regional accounting firms as well as large and small financial institutions. He has experience with banks primarily regulated by OCC, FDIC, and Federal Reserve and State authorities. He has served as a Risk Manager, Director of Internal Audit, Compliance Officer, and Bank Secrecy Act Officer. His most recent work experience involves working internally with a troubled institution to update the AML/BSA and Compliance Areas. Jeremy is a Certified Anti-Money Laundering Specialist who has performed consulting and internal audit work for multiple institutions encompassing the following areas loan review, operational, financial, regulatory compliance and Sarbanes Oxley.