Keith Monson serves as CSI’s chief risk officer. In this role, Keith maintains an enterprisewide compliance framework for risk assessment and reporting, as well as other key components of CSI’s corporate compliance program. With nearly 25 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 holds a B.S. in Finance from Truman State University.
One of the biggest misconceptions about robust ERM programs is that the implementation and management process is far too expensive or difficult for smaller institutions.15 December 2019