Chicago, IL – March 28, 2011 – ICS is proud to sponsor Bank Director magazine’s Bank Audit Committee Primer on June 13th in Chicago, IL. The Primer will be held prior to the magazine’s Bank Audit Committee Conference June 14-15th.
ICS’ CEO & Co-Founder John F. White will be participating on the Primer’s panel discussion for Audit Committee members, and President & Co-Founder John C. Soffronoff, Jr. will be leading a breakout session on June 15th of the Conference to discuss what banks should be focusing on and what questions the Boards should be asking regarding Dodd-Frank.
Audit committee and board members will be in attendance of this two-day program which will focus on important accounting, risk, and regulatory issues facing bank boards. Leading experts, seasoned professionals, and experienced bank officers and directors will share past experiences, best practices, and valuable firsthand information specifically related to banks. Interested members and officers can register online here.
About John F. White, CEO
With 40 years of accounting and auditing experience, John White epitomizes the consulting expertise of ICS. Mr. White co-founded ICS more than 10 years ago with a mission to provide focused, outsourced compliance and related services to the financial services industry. Mr. White has served on several financial services company boards, is a Certified Public Accountant, Certified Bank Auditor, and a Member of the Institute of Internal Auditors.
About John C. Soffronoff, Jr., President
As a former Review Examiner with the FDIC, Mr. Soffronoff has established a consultative approach to compliance consulting and manages a staff of professionals who carry out that approach to serve financial institutions, from De Novo banks to large, billion-dollar bank holding companies. Prior to co-founding ICS, John provided leadership at the FDIC for more than 10 years.
About ICS Compliance
As risk management specialists, ICS focuses only on risk and regulatory issues for financial institutions. Our seasoned professionals, with previous experience as federal examiners, internal auditors, and compliance officers, provide institutions with invaluable expertise and insight. This competency, along with our tailored approach and strong regulatory awareness, provides clients with the confidence that comes from hiring experts in risk management. Serving institutions from 17 cities across the country, we provide a full range of customized risk management solutions, including internal audit, regulatory compliance, and credit and operational risk management programs and consultation.
For more information about how your institution can stay in compliance with federal regulations, visit ICS at: www.ICScompliance.com or contact Michael Pappolla, Director, at: 856.220.2240.