Risk & Compliance Specialist
Carla joined Midland in 2014 and serves as a Wealth Management Risk & Compliance Specialist. She brings over 24 years’ experience in the banking industry across varied roles. In her current position, Carla provides service and support to the Wealth Management Risk and Compliance program, which includes coordinating onsite audits and exams, quality control reviews, and quality assurance audits. She ensures accounts are managed in accordance with administrative and investment policies and are compliant with regulatory requirements. Carla’s overall goal in this position is to minimize business risk and optimize efficiency within the group. She holds her Associates degree.