Marc Fisher
About Marc Fisher
Marc Fisher is a Compliance Risk Executive with extensive experience in the financial sector, currently serving at City National Bank and RBC. He holds a BBA from the University of Michigan and has held various senior compliance roles at institutions such as Bank of America, MUFG, and U.S. Bank.
Work at City National Bank
Marc Fisher serves as a Compliance Risk Executive at City National Bank, a position he has held since 2023. In this role, he is responsible for overseeing compliance risk management strategies and ensuring adherence to regulatory requirements. His expertise in compliance and risk management contributes to the bank's commitment to maintaining high standards of operational integrity.
Current Role at RBC
In addition to his position at City National Bank, Marc Fisher is also the U.S. Chief Compliance Officer at RBC, a role he has occupied since 2023. His responsibilities include leading compliance initiatives and managing regulatory risks across the organization. Fisher's extensive background in compliance enhances RBC's ability to navigate complex regulatory landscapes.
Previous Experience at MUFG
Prior to his current roles, Marc Fisher worked at MUFG as Managing Director and Deputy Chief Compliance Officer for Core Compliance from 2012 to 2022. During his tenure, he focused on strengthening compliance frameworks and ensuring regulatory adherence within the organization. His leadership contributed to the development of effective compliance strategies.
Education and Expertise
Marc Fisher earned a Bachelor of Business Administration (BBA) from the University of Michigan - Stephen M. Ross School of Business, where he studied from 1983 to 1987. His educational background provides a solid foundation for his career in compliance and risk management, equipping him with the necessary skills to navigate the complexities of the financial industry.
Career Background in Compliance
Marc Fisher has held various senior compliance roles throughout his career. He served as Managing Director and Chief Compliance Officer at Bank of America from 2004 to 2008, and later as SVP Compliance & Operational Risk Executive II from 2008 to 2011. He also worked at U.S. Bank as Head of Union Bank Compliance for a brief period in 2022-2023. His diverse experience across multiple financial institutions underscores his expertise in compliance risk management.