Skip to main content
Chief Compliance & Risk Officer
Our People
set at runtime

Experience

  • 2004 - Present Diamond Hill Capital Management, Inc.
  • 1998 - 2004 Director – Mutual Fund Administration, Banc One Investment Advisors
  • 1996 - 1998 Vice President – Mutual Fund Accounting and Financial Reporting, First Chicago NBD
  • 1991 - 1996 Internal Audit responsible for Investment Management, NBD Bank

Education

  • Investment Adviser Certified Compliance Professional (IACCP®)
  • Certified Bank Auditor, inactive, 1995
  • BSBA in Accounting, Central Michigan University