Who Is Laurie Gibson
Laurie Gibson is a finance executive with experience in banking, corporate governance, and regulatory compliance. She has held senior roles across financial institutions and public companies, focusing on risk management, internal controls, and audit oversight. Her career aligns with corporate finance, board advisory, and compliance functions in regulated industries.
Public records and professional profiles associate Laurie Gibson with roles involving financial reporting, capital markets, and governance committees. She is recognized for work in corporate treasury, financial operations, and cross-border regulatory coordination. Her background includes oversight of financial controls and support for audit and risk functions.
Laurie Gibson Career and Corporate Roles
Banking and Financial Services
Laurie Gibson has worked in banking and financial services, handling corporate finance, treasury, and regulatory compliance. Her roles have included oversight of liquidity management, credit risk, and financial reporting for regulated entities. She has contributed to governance frameworks and internal audit processes at financial institutions.
In corporate finance, Laurie Gibson has supported capital allocation, investor relations, and financial strategy. She has worked with public companies on SEC filings, disclosure controls, and governance best practices. Her experience spans financial operations, risk committees, and board-level advisory on compliance and internal controls.
Laurie Gibson Governance and Compliance Focus
Regulatory and Audit Oversight
Laurie Gibson has focused on regulatory compliance, internal audit, and risk management in financial services. She has experience with Sarbanes-Oxley controls, anti-money laundering programs, and board audit committees. Her work supports transparency, financial integrity, and adherence to regulatory standards.
Laurie Gibson has contributed to governance frameworks at public companies and financial institutions. She has advised on board composition, audit committee operations, and financial reporting controls. Her background includes coordination with external auditors, regulators, and management on compliance and risk matters SEC.