Ari Silbiger

Ari Silbiger

Vice President Compliance @ City National Bank

About Ari Silbiger

Ari Silbiger serves as the Vice President of Compliance at City National Bank, bringing extensive experience from previous roles at KPMG, Goldman Sachs, and Wells Fargo. He has a proven ability to implement compliance controls and develop effective regulatory programs.

Current Role at City National Bank

Ari Silbiger serves as Vice President of Compliance at City National Bank, a position he has held since 2022. In this role, he focuses on ensuring the bank adheres to regulatory requirements and internal policies. His responsibilities include implementing compliance controls and enhancing governance frameworks. Silbiger's expertise in regulatory frameworks contributes to the bank's risk management strategies.

Previous Experience at Wells Fargo

Prior to his current role, Ari Silbiger worked at Wells Fargo as Vice President of Compliance from 2016 to 2022. During his tenure in the Greater New York City Area, he successfully managed compliance initiatives and regulatory programs. His work involved creating effective regulatory compliance programs and improving risk management practices within the organization.

Career Background at KPMG and Goldman Sachs

Ari Silbiger has a diverse career background that includes significant roles at KPMG and Goldman Sachs. He worked at KPMG in Advisory Services from 2007 to 2016, where he focused on compliance and risk management. Earlier, he spent six years at Goldman Sachs, specifically at Spear Leeds & Kellogg, as an Equity Derivatives Specialist and Assistant Trader from 1996 to 2002. This experience provided him with a strong foundation in financial services and compliance.

Educational Background

Ari Silbiger pursued his education at Yeshiva University from 1991 to 1994. He later attended Hofstra University, where he studied Accounting from 2007 to 2008. His educational background supports his expertise in compliance and risk management within the financial sector.

Expertise in Regulatory Compliance

Ari Silbiger has developed a strong expertise in regulatory compliance throughout his career. He has a proven track record of creating and implementing compliance programs, including Risk Control Self-Assessment (RCSA) and Governance, Risk, and Compliance (GRC) frameworks. His knowledge of regulatory frameworks such as Third Party Risk Management (TPRM), Regulation W, Regulation O, and the Volcker Rule enhances his ability to manage compliance effectively.

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