Overfield, HIA, ACS, AIRC, DIA
Linda is the Corporate Compliance and Market Conduct Manager at American Fidelity Assurance Company. She has been with American Fidelity Assurance Company since 1977 with over 25 years of that time spent in the field of compliance. In her role as Anti-money Laundering Compliance Officer, she coordinates the corporate-wide AML program, sanctions program, and Foreign Corrupt Practices Act. In addition, she manages agent licensing, assists with complaints and market conduct issues, and serves as an Investment Company and Variable Contract Products Principal for American Fidelity Securities, Inc. for agent registration and anti-money laundering. She is a member of ACAMS, and the Association of Insurance Compliance Professionals, and the Society of Corporate Compliance and Ethics.