Rod is the Director of Financial Institutions Internal Audit and Compliance Services for PYA. With more than 30 years of experience working in the banking industry—most recently at the C-Suite level—Rod is well-versed in the industry’s operational and regulatory challenges. Rod has had significant experience with regulatory compliance matters, risk management, and internal control design. He has assisted clients in performing organizational risk assessments and in correcting internal control deficiencies.
Rod is a graduate of the University of Indianapolis and Bethel College with a Master of Business Administration and Bachelor of Arts respectively. Additionally he is a graduate of the BBVA School of Banking. He is a licensed Certified Internal Auditor (CIA), Certified Information Systems Auditor (CISA), Certified Financial Services Auditor (CFSA), Certified Fraud Examiner (CFE), and Certified Regulatory Compliance Manager (CRCM). He is a member of the Institute of Internal Auditors, Association of Certified Fraud Examiners, and Information Systems Audit and Control Association.