Lori is the director of compliance services where she serves financial institutions as a consultant for their regulatory compliance needs. She has extensive experience as a regulator for FDIC, bank compliance officer for a large multi-regional institution as well as the head of internal audit and compliance for a de novo institution.
Lori joined HORNE in 2021 with over 30 years of experience providing regulatory compliance and Bank Secrecy Act consulting, auditing, and training for financial institutions large and small.
Lori obtained a Bachelor of Business Administration from Mississippi State University. She earned her Certified Regulatory Compliance Manager certification and completed the ABA Graduate School of Compliance Risk Management.