Jack Holzknecht, CRCM is the CEO of Compliance Resource, LLC. He has been delivering the word on lending compliance for 39 years. In 34 years as a trainer over 125,000 bankers (and many examiners) have participated in Jack’s live seminars and webinars. Jack’s career began in 1976 as a federal bank examiner. He later headed the product and education divisions of a regional consulting company. There he developed loan and deposit form systems and software. He also developed and presented training programs to bankers in 43 states. Jack has been an instructor at compliance schools presented by a number of state bankers associations. As a contractor he developed and delivered compliance training for the FDIC for ten years. He is a Certified Regulatory Compliance Manager and a member of the National Speakers Association. He is also a “BOL Guru.”
Amy H. Faust is Vice President of Marketing for Compliance Resource, LLC, a source of compliance assistance for financial institutions. Amy is an experienced sales and marketing executive who has helped launch many new products. Amy’s career began as an account executive for Clark & Riggs Printing. In this position she managed accounts and sought out new business prospects. She later joined IMC Licensing as a licensing sales associate where she worked with clients such as Kraft Foods, Pinnacle Foods, S.C. Johnson, Sunkist Growers, and Rocky Mountain Chocolate Factory. Her responsibilities at IMC included soliciting manufacturers on behalf of clients to help extend their brands via licensing into new product categories at retail. Amy has a BA in Business Administration from Bellarmine University and she is a member of the Bellarmine Alumni Association.
Robin Cooper, CRCM is the Director of Compliance for Compliance Resource, LLC, a source of compliance assistance for financial institutions. Robin’s career in banking began in 2004. Since that time she has worked for community and regional financial institutions ranging from $100 million to $1 billion in asset size regulated by the Office of the Comptroller of the Currency (OCC) and Federal Reserve Board (FRB). Robin has worked in numerous compliance and banking roles, including Compliance Auditor, Internal Auditor, BSA Officer, and Compliance Officer. In 2010 Robin established and led the, now longstanding, Central Kentucky Compliance Round Table for compliance officers in central and southern Kentucky to convene and discuss emerging compliance issues. Robin holds a Bachelor of Arts degree from Centre College, attended the American Bankers Association National Compliance School, and is a Certified Regulatory Compliance Manager.
Brent Vincent is the Director of Operations for Compliance Resource, LLC, a source of compliance assistance for financial institutions. Brent’s career began with UPS Supply Chain Solutions as an Electronic Repair Technician. In this position he repaired laptop computers from customers across the United States. He was also selected to manage a national recall, and facilitate the repair of over 20,000 affected units. He later joined Ramric, LLC as a district manager of multiple quick service restaurants. His responsibilities at Ramric included managing payroll, making product orders, inventory control, and maintain a high level of food safety. At the end of Brent’s tenure, sales had increased nearly 50% over the final two years. Brent has an AA in Computer Engineering Technology from Sullivan Institute of Technology and Design and is a member of the SCTD Alumni Association.