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Welcome to the Richmond ACAMS Chapter website! The Chapter seeks to provide education and networking opportunities towards advancing the knowledge and skills of those involved in the identification, detection and prevention of money laundering. Through hosting events featuring speakers from various industry segments and the Government, we plan to be a resource for financial institutions and related businesses, law enforcement, and the academic community. Additionally, the Richmond Chapter will continually seek out opportunities to distinguish CAMS members as the preferred subject matter experts in the field of anti-money laundering compliance.

For inquires contact RichmondChapter@acams.org.
Follow the Richmond Chapter on Facebook.
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News
Investigators flush out money laundering to protect banks, consumers
NBC12
11/08/2010
Upcoming Events
TBA
Previous Events
Joint ACAMS and AGA Richmond Chapter Breakfast Seminar
Date: Wednesday, April 18, 2012


Richmond Chapter Networking Event
Tuesday, April 3, 2012
Roundtable Discussion
February 28, 2012
List Screening: Finding the Bad Guy
December 2, 2011
Richmond Chapter Networking Event
November 8, 2011
Remembering 9/11--- Financial Lessons Learned
September 15, 2011


Prosecuting Money Laundering
July 13, 2011
Project STAMP (Smugglers’ and Traffickers’ Assets, Monies & Proceeds)
April 19, 2011
Richmond Chapter Networking Event
March 1, 2011
Anti-Money Laundering – it’s not just for Bankers anymore!
February 23, 2011
A Breakfast Conversation with Matthew H. Neels, Sr. VP and Chief Compliance Officer at Capital One
October 29, 2010
Richmond Chapter Launch Event
September 29, 2010
Executive Board
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R. Joe Soniat, CAMS
Union First Market Bankshares Corporation
Co-Chair
Joe is the BSA Officer for Union First Market Bankshares Corporation, located in Richmond, Virginia. Mr. Soniat is a Certified Anti – Money Laundering Specialist as well as a Certified Fraud Examiner. Mr. Soniat is a BSA Coalition Advisory Board Member, which consists of bankers and regulatory representatives from various federal and state banking agencies from the fifth district of the Federal Reserve. He is also Co- Chair of the Richmond Chapter of ACAMS and advisory board member of the U.S Capital Chapter of ACAMS.
Mr. Soniat has worked in the Internal Affairs Section of the Virginia State Police; as a Finance Officer for the United States Government; and also as a fraud examiner for Circuit City Stores.
e-mail: robert.soniat@bankatunion.com |
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Elaine R. Yancey
Federal Reserve Bank of Richmond
Co-Chair
Elaine started her career at the Federal Reserve Bank of Richmond as a consumer affairs examiner dealing with consumer protection laws and regulations. Elaine is currently a supervisory examiner in the safety and soundness division of Banking Supervision and Regulation of the Federal Reserve, with responsibility for the Legal and Fiduciary Risk unit. She works with Bank Secrecy Act/Anti-Money Laundering (BSA/AML) legislation, bank fraud, and fiduciary/trust issues. She is the advisor to the BSA Coalition, a group of financial institution and banking agency regulatory representatives who discuss, debate, and try to resolve BSA/AML issues.
Elaine is a graduate of Furman University (Bachelor of Arts) and the Graduate School of Banking at Louisiana State University. In 2005, she obtained her MBA from Virginia Commonwealth University.
e-mail: Elaine.Yancey@rich.frb.org |
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Christine A. Feldpausch, CAMS, CFE
Cary Street Partners
Director-at-large
Christine is currently a Compliance Officer at Cary Street Partners, an investment banking and wealth management firm in Richmond, VA. In this role she is responsible for, among other duties, supporting the Firm’s AML and Fraud Detection Programs. Prior to joining Cary Street Partners in 2007, she held a variety of roles within Compliance at other securities firms including Wachovia Securities, LLC and Alex. Brown & Sons, Inc. She initially began her career at Provident Bank of Maryland.
Christine received her Bachelor of Science degree from Campbell University. She has over 15 years experience in the securities industry, holds several securities licenses and is CAMS and CFE certified
e-mail: CFeldpausch@carystreetpartners.com
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D. Scott Bailey
Chesterfield County Police Department
Secretary
Scott has been a member of the Chesterfield County Police Department as a Career Detective for the past 17 years. In that capacity he has been assigned to three Bureau’s and seven divisions. Currently Scott is assigned to the Special Investigations division. Bailey has extensive background in white collar/financial crimes and is the designated financial investigator for the Multijurisdictional Special Operations group. Scott has been actively involved in the investigation of intellectual property crimes for the past seven years and has been instrumental in the successful prosecutions of numerous persons at the State and Federal level.
Scott has held the following titles within his career: Patrol Officer, Community Policing Officer, Forensic Technician, Special Response Unit Member, Arson Investigator, Hazmat Investigator, Property Detective, Economic Crimes Detective, Organized Crime Detective, and Federal Task Force Officer.
e-mail: BaileyS@chesterfield.gov
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Donna Thrift
Stellar One Bank
Treasurer
Donna is the Director of Compliance for Stellar One Bank. She earned her Bachelor of Arts from the University of Virginia and her Masters of Accountancy from Virginia Commonwealth University. With early experience in banking as a customer service representative and accounting clerk at a savings and loan, Donna became a CPA and worked for Signet Bank in the mid 1990’s. After a stint in manufacturing, Donna returned to banking in 2002, and joined Capital One’s Internal Audit department. She specialized in regulatory compliance audits and project management reviews. While at Capital One, Donna performed a number of BSA/AML audits, including audits of Capital One’s AML/BSA programs in the US and Canada. In June, 2010, Donna left Capital One to become Director of Compliance at Stellar One Bank. Donna received her CRCM in 2010 and plans to become CAMS certified in 2011.
e-mail: dthrift@stellarone.com |
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Elizabeth K. Beverly, CAMS, CFE
Virginia Office of the Attorney General
Co-Treasurer
Elizabeth is an Investigator for the Virginia Office of the Attorney General. Elizabeth coordinates investigations with federal, state and local authorities on civil investigation cases to be prosecuted regarding allegations of fraud by health care providers and pharmaceutical manufacturers who are paid through the state and federally funded programs of Medicaid. Prior to the Office of the Attorney General Elizabeth worked for Capital One for over 10 years. During her time at Capital One Elizabeth held several investigative positions including; fraud, money laundering, terrorist finance, FinCEN 314(a), OFAC sanctions, Politically Exposed Persons and Special Interest Persons. Elizabeth earned a Bachelors degree in Criminal Justice; she is a Certified Anti-Money Laundering Specialist (CAMS) and a Certified Fraud Examiner (CFE). Elizabeth is on the board of the Association of Certified Fraud Examiners Richmond Chapter as the Training and Events Coordinator.
e-mail: EBeverly@oag.state.va.us |
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Charlie George, CAMS
Capital One Financial
Membership Director
Charlie performs as the functional corporate lead responsible for all aspects of AML/Sanctions compliance for Capital One’s non-retail banking lines of business. Prior to Capital One, Charlie worked for Raymond James Financial, where he was responsible for all facets of its Investment Company’s AML and sanctions compliance program. Prior to Raymond James, Charlie worked for the Office of the Comptroller of the Currency as a Bank Examiner in the North Florida region, where he worked with a team responsible for the supervision and examination of National banks in various areas such as Consumer Compliance, Bank Secrecy Act, Asset Management, Capital Markets, and Credit. Charlie has a depth of experience assisting financial institutions in the development and execution of Bank Secrecy Act and Anti-Money Laundering prevention policies, AML training, list screening operations (sanctions, PEPs, Special Interest Persons, 314a), enterprise-wide AML risk assessment development and execution, and suspicious activity reporting quality assurance. He is a Certified Anti-Money Laundering Specialist (CAMS).
e-mail: Charlie.George@capitalone.com |
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Diane Eisinger, CAMS
Spectrum Advisors
Co-Membership Director
Diane is currently Vice President of a registered investment advisory firm where, among other duties, she handles the regulatory compliance and operations of the firm. Previously, Diane spent almost three years at FINRA in the Market Regulation Department investigating fraudulent broker/dealers, securities firms and issuers of stock that traded on the NASDAQ market. During her time at FINRA, she handled several cases involving money laundering activities such as “pump and dump schemes” and use of illegal shell companies. She sent evidence to various government agencies such as the SEC, the IRS, the Department of Justice and the FBI in an effort to stop the fraudulent conduct. Diane holds a Bachelor’s degree from Brandeis University; a law degree from the University of Arizona College of Law and a Masters of Law (LL.M) in taxation from the University of San Diego School of Law. She is a Certified Financial Planner ™ professional and a Certified Anti-Money Laundering Specialist (CAMS).
e-mail: Diane6022@aol.com
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Fallon Teufert, CAMS
Federal Reserve Bank of Richmond
Programming Director
Fallon was born and raised in New Orleans, Louisiana. She earned a Bachelor of Arts in Finance from Eastern Washington University, Cheney, Washington. She began her career on the front lines of a financial institution, and then moved to other positions where her duties included BSA/AML compliance and internal audit. Fallon began her career at the Federal Reserve Bank of Richmond in 2005 as a Safety and Soundness Examiner. Her prior experience with BSA/AML compliance was leveraged as she has spent a considerable amount of time performing BSA/AML examinations of all levels of complexity. Additionally, Fallon has conducted BSA/AML related training for Federal Reserve examiners, as well as, outreach to community bankers and community bank employees. Fallon became CAMS certified in 2008. She most recently served as acting manager of the enforcement action function within the Supervision, Regulation and Credit department.
e-mail: Fallon.Teufert@rich.frb.org
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Dr. Gurpreet Dhillon
Virginia Commonwealth University
Co-Programming Director
Gurpreet is Professor of Information Systems at Virginia Commonwealth University, USA. He holds a Ph.D. from the London School of Economics and Political Science, UK. Gurpreet has authored seven books including Principles of Information Systems Security: text and cases (John Wiley, 2007) and over 100 research papers. He is also the Editor-in-Chief of the Journal of Information System Security. Gurpreet’s research has been featured in various academic and commercial publications and his expert comments have appeared in the New York Times, USA Today, Business Week, NBC News, among others.
e-mail: gdhillon@vcu.edu |
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Amy Wotapka, CAMS
Capital One Financial
Communications Director
Amy is the AML Compliance Manager for Capital One Financial Corporation. In her role, Amy leads a team that is responsible for Suspicious Activity Report Quality Assurance, as well as National Lending and Financial Services Account Closing, List Screening Quality Assurance support and the Monthly AML Training Program. Prior to joining Capital One, Amy worked for PNC Bank, where she managed an AML Surveillance team and provided general compliance and Office of Foreign Assets Control support to PNC’s Treasury Management line of business. Amy earned a Bachelors degree in Business Administration with minors in Economics and English. She holds several industry certifications, including Certified Anti-Money Laundering Specialist (CAMS), Certified Fraud Examiner (CFE), Certified Regulatory Compliance Manager (CRCM), Certified Information Privacy Professional (CIPP), Fair Credit Reporting Act (FCRA) and American Society for Quality’s Certified Quality Improvement Associate designation.
e-mail: amy.wotapka@capitalone.com |
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Dr. Thomas J. Burns
Wells Fargo Advisors
Co-Communications Director
Thomas is a vice president and Anti-Money Laundering Compliance Manager for Wells Fargo Advisors in Richmond, Virginia. He manages money laundering, terrorist finance and OFAC investigations, and supervises the filing of suspicious activity reports. Tom has previously held roles as AML compliance consultant, compliance examiner, and sr. compliance analyst.
He holds multiple securities licenses, a doctorate degree in business and has 17 years securities industry experience. Tom is a certified fraud examiner, and securities industry arbitrator for NASD Regulation, Inc Board of Arbitrators (now FINRA).
He has worked for some of the largest firms in the financial industry including MetLife, Dean Witter Reynolds, and First Union/Wachovia Securities/Wells Fargo Advisors.
e-mail: TBurns@WellsFargoAdvisors.com |
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