RonaPocker
Rona
Pocker

Rona is a proven and trusted former Federal Reserve Senior Supervisor. She provides advice and implementation guidance to executive teams to deftly guide and mitigate financial, compliance, and regulatory risks of all types.

Previously, she served in key business development and execution roles for Promontory Financial Group where she led engagements to upgrade risk, compliance, and regulatory reporting functions for financial holding companies.

She has undertaken a number of additional roles including:

  • Leading the large bank and anti-money laundering regulatory practices at Grant Thornton LLP, where her responsibilities included designing go-to-market strategies and providing subject-matter expertise on governance, risk assessment, policies, procedures, training, testing, model validation, and regulatory reporting. There, she also served as a subject matter expert for the full range of risk management and capital management activities undertaken by banking clients.
  • Designing and implementing transformational change activities for the corporate audit functions of Bank of America and Citigroup and upgrading the enterprise audit methodologies for enterprise risk management, technology, compliance and business activities, both institutional and retail, and upskilled talent.  

Previously, she served as a senior vice president in financial institution supervision at the Federal Reserve Bank of New York where she directed the enterprise regulatory supervision of a portfolio of large complex domestic and foreign banking organizations. These reviews encompassed the full range of governance and risk management regulatory requirements.

Rona is a Certified Public Accountant in New York State.

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