Tag: Banking Compliance

Damon “Jerry” Savoy: Strategic Thinker Committed to Strengthening Integrity, Risk Management, and Global Financial Systems

I’m proud to share my professional biography, reflecting more than three decades of service in financial regulation, compliance, and leadership. My journey has taken me from courtroom advocacy to regulatory strategy, from national oversight to international engagement—all grounded in a commitment to integrity and effective governance.

Navigating Regulatory Compliance in Global Capital Markets

Navigating regulatory compliance in global capital markets requires financial institutions to balance evolving international and domestic frameworks while safeguarding transparency and trust. From global standards like Basel to national regulators such as the Federal Reserve, PRA, or MAS, banks must adhere to stringent guidelines or face reputational, financial, and operational setbacks. The complexity of compliance has driven institutions to embrace technological transformation, particularly AI-driven solutions, to streamline reporting, enhance risk detection, and strengthen transparency. Yet, challenges persist as rapid regulatory changes, cross-border requirements, and the pressure to modernize legacy systems force institutions to weigh short-term fixes against long-term structural overhauls that ultimately shape their resilience and competitiveness.

Terence Johnson: Experienced Risk and Compliance Testing Professional

Terence Johnson is an accomplished Risk and Compliance Testing professional with over a decade of experience ensuring financial institutions adhere to federal and state regulations. As a licensed attorney, he brings a strong analytical and legal foundation to his work, specializing in risk assessments, control testing, and regulatory change management. Throughout his career, he has played a key role in developing compliance frameworks, identifying control gaps, and implementing proactive solutions to strengthen regulatory oversight. His ability to bridge legal expertise with operational compliance has made him a trusted advisor in the financial services industry, ensuring organizations remain compliant while optimizing efficiency and mitigating risk.

Theodore Roknich: Enterprise Risk and Audit Executive with Expertise in Financial Services

Theodore Roknich is a seasoned enterprise risk and audit executive with over 25 years of experience in financial services, specializing in risk management, internal audit, regulatory compliance, and financial controls. Throughout his career, he has built and led audit and risk management functions, ensuring compliance, strengthening governance, and mitigating financial and operational risks. As a trusted advisor to executive leadership and board committees, he has successfully developed risk management strategies, integrated data analytics into audit processes, and enhanced regulatory compliance frameworks. Currently serving as Enterprise Risk Manager at Horizon Bank, he continues to provide strategic oversight, aligning risk management with business objectives and regulatory expectations. His leadership and expertise have played a critical role in improving financial oversight, operational resilience, and governance within the institutions he has served.