Professional Bio
Dru has advised financial services companies over the last fifteen years, primarily focused on consumer compliance risk management and independent compliance and BSA/AML testing. Formerly with one of the “Big 4” accounting and advisory firms, he led a number of engagements related to assessing compliance risk management program effectiveness and exam preparedness for organizations supervised by the CFPB and prudential regulators. In addition, he spent over six years with a local firm, serving community banks across Tennessee. He is a member of the Institute of Certified Bankers, Tennessee Bankers Association, American Institute of CPAs and the TN Society of CPAs.
Associate Member