Ryan is currently Senior Vice President of Risk and Compliance for the American Bankers Association (ABA). Within their Professional Development Group (PDG), he is responsible for managing the strategic direction of the ABA products and delivery channels within the Risk and Compliance markets to ensure they meet current and anticipated industry needs, address new or unique market
Ryan is currently Senior Vice President of Risk and Compliance for the American Bankers Association (ABA). Within their Professional Development Group (PDG), he is responsible for managing the strategic direction of the ABA products and delivery channels within the Risk and Compliance markets to ensure they meet current and anticipated industry needs, address new or unique market opportunities, and continue to provide a strong value proposition to ABA members.
Previously, Ryan served as the President of RiskGap Advisors, LLC and widely recognized for providing strategic training to compliance and risk professionals. As an advisor, he worked closely with financial institutions to enhance their risk governance framework, strengthen controls, develop customized risk assessments, and assist in generating influential management reports.
Ryan was also Senior Vice President, Risk & Financial Crimes Director for Associated Banc-Corp in Green Bay Wisconsin. Prior to joining Associated, he was employed with the U.S. Secret Service and lived in the Washington D.C. metropolitan area before starting his banking career at E*TRADE Bank as the Bank Secrecy Act and Anti-Money Laundering Officer.
Ryan has a bachelor degree in Management and Business Administration. He holds Stanford University’s Strategic and Risk Management Professional Certification and completed training in Enterprise Risk Management at Kellogg School of Management.
Specialties: Developing Enterprise Risk Management (ERM) strategies and programs, Compliance Management System, and preparing examination capabilities for financial institutions; Also, instructor in compliance and risk management.
SVP, Risk and Compliance Markets @ From February 2015 to Present (11 months) Washington D.C. Metro AreaStonier Graduate School of Banking Faulty & Capstone Advisor @ From August 2012 to Present (3 years 5 months) Online Professional Compliance Curriculum Board of Advisors @ From April 2012 to Present (3 years 9 months) Washington D.C. Metro AreaFaculty Member @ From February 2006 to Present (9 years 11 months) President @ From November 2011 to February 2015 (3 years 4 months) Senior Vice President, Director of Risk & Financial Crimes @ From 2003 to October 2011 (8 years) Bank Secrecy Act & Anti-Money Laundering Officer @ From 2000 to 2003 (3 years) Federal Law Enforcement Officer @ From December 1995 to 2000 (5 years)
Master of Science @ Northwestern University From 2013 to 2015 Bachelors @ National Louis University Ryan Rasske is skilled in: Operational Risk, Operational Risk Management, Compliance Management, Governance, Risk Assessment, Due Diligence, Fraud, Risk, Enterprise Risk Management, AML, OFAC, Bank Secrecy Act, USA PATRIOT Act, BSA, Compliance
Looking for a different
Get an email address for anyone on LinkedIn with the ContactOut Chrome extension