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NameTitleLocationContact
Childress, MaraPrincipal Washington, DC+1 202 870 1977
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Cook, DavidDirectorWashington, DC+1 202 384 1054
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Dawson, MichaelManaging DirectorWashington, DC+1 202 384 1080
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Francis, NicholasPrincipal New York+1 212 365 6565
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Giacomini, LouieChief Operating Officer, Promontory Risk ReviewDenver+1 720 612 5129
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Goodwin, BeckySenior Principal Washington, DC+1 202 440 1872
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Guo, JustinPrincipal Washington, DC+1 202 370 0378
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Hamm, Kathleen M.Global Leader of Securities and Fintech Services and Senior Strategic Adviser to the CEO on Cyber Solutions Washington, DC+1 202 384 1022
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Hilton, JamesExecutive Managing Director for the United StatesNew York+1 212 365 6564
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Hogan, JamesSenior PrincipalSydney+61 2 9275 8833
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Loughlin, ThomasManaging DirectorWashington, DC+1 202 384 1044
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Lovatt, AshleyPrincipalNew York+1 212 365 6979
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Ludwig, EugeneFounder and Chief Executive OfficerWashington, DC+1 202 384 1200
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McDougall, SimonManaging DirectorLondon+44 207 997 3456
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Murray, RyanAssociateSan Francisco+1 720 612 5057
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Rai, AmarPrincipalLondon+44 207 997 3434
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Rushton, WayneManaging DirectorWashington, DC+1 202 384 1015
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Sidler, ChristopherDirectorWashington, DC+1 202 370 0463
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Weimer, MarilynSenior Director and Chief Compliance OfficerWashington, DC+1 202 384 1200
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Mara provides research and analysis for compliance and regulatory matters.
David is a member of Promontory’s global compliance practice and assists clients with complex compliance and enforcement challenges. He concentrates ...
Michael coordinates Promontory’s global compliance practice. His practice includes financial-crimes risk management, encompassing anti-money-launderi...
Nicholas provides regulatory, compliance, and governance advice to international financial institutions.
Louie is a member of the leadership team at PRR, where he is responsible for operational delivery and quality assurance of client engagements and ove...
Becky has more than 20 years of experience working in bank regulation and private-sector financial services.
Justin assists clients with matters related to corporate governance, risk management, and regulatory compliance.
Kathleen draws on nearly 30 years of experience in business, regulation, and risk management to bring integrity, sound judgment, and creativity to so...
Jim helps clients respond to regulatory mandates arising from changing regulation, examinations and enforcement actions, especially in the areas of b...
James specializes in financial services regulation, corporate governance, and insolvency-related matters.
Tom specializes in advisory services to management and boards of directors, independent reviews and monitoring efforts, and investigations. His prim...
Ashley assists clients with a range of regulatory matters, including providing advice related to corporate governance, risk management, and regulator...
Gene, the founder and chief executive officer of Promontory Financial Group, is a trusted adviser to many of the world's leading financial companies....
Simon leads Promontory’s global privacy and data protection practice, advising firms on governance, risk, and regulatory issues related to their data...
Ryan assists clients with a variety of regulatory and compliance issues in the mortgage and default-servicing industry.
Amar provides compliance advice to international financial institutions, with a focus on anti-money-laundering and sanctions compliance.
Wayne assists clients in navigating difficult regulatory examination and enforcement issues. As the former senior-most bank supervision policy offici...
Christopher focuses on anti-money-laundering and sanctions compliance, including the design and execution of large-scale forensic reviews for global ...
Marilyn specializes in compliance reviews, internal fact-finding investigations, financial analysis, and corporate governance issues. She has extensi...