Celebrating 125 Years

Advisory Board

Financial Integrity Institute

Our mission is to advance financial integrity globally by conducting and promoting at the highest standards research, education and professional excellence in anti-money laundering and countering the financing of terrorism, targeted sanctions, anti-corruption and international tax evasion policies and practices.

Advisory Board
The Advisory Board provides guidance on policies and practices that will enrich the Financial Integrity Institute and the MAFI program. The Board consists of up to eight members appointed by the Deans of the School of Law for five-year, renewable terms. Its functions include:

  • fostering relationships among the Institute, the MAFI program, and its partners, including governmental and nongovernmental organizations, international financial institutions, and the private sector
  • developing MAFI curriculum and student recruitment initiatives
  • engaging with policymakers worldwide on solutions necessary to meet the requirements of regulatory and enforcement agencies
  • planning research and other strategies to address financial sector integrity issues
  • extending the influence of the Institute and MAFI program among national and international institutions

Rick McDonell, Chair
Executive Secretary
Association of Certified Anti-Money Laundering Specialists
Mr. McDonell is Executive Secretary of the Association of Certified Anti-Money Laundering Specialists and a member of the ACAMS Advisory Board. He recently stepped down as Executive Secretary of the Financial Action Task Force, a post he held since 2007. Previously he served as Chief of the UN Global Programme against Money Laundering; founding Executive Secretary of the Asia Pacific Group on Money Laundering; National Coordinator, Legal Advisor, and Public Prosecutor at the Australian National Crime Authority; and Special Prosecutor for the Costigan Royal Commission of Government of Australia, which investigated organized crime in Australia.
Pawneet Abramowski
MD, Head of Financial Crimes Risk Management
The Bancorp
Ms.Abramowski is Managing Director, Head of Financial Crimes Risk Management at The Bancorp and has grown that practice into what is now the company’s Financial Crimes Risk Management unit. Ms.Abramowski has nearly 20 years of comprehensive achievements in public and private sector with special focus in Compliance/Risk Management and law enforcement industries. She has key subject matter expertise and emphasis on holistic Financial Crimes Risk Management approach that covers anti-money laundering (AML), fraud, sanctions and anti-corruption issues as well overall compliance with regulations.She is recognized for ability to incorporate innovative management techniques critical for risk management functions and the effective implementation with oversight of compliance-related risk management systems for diverse banking and securities environment.

Prior to joining The Bancorp, Ms. Abramowski served as the Director of Anti-Money Laundering Compliance at CIT, where she also provided oversight and guidance for the execution of a global AML Risk Framework and other initiatives. Prior to CIT, she was Senior AML Compliance Officer at RBC Capital Markets, and Global Director – AML Group at Morgan Stanley. She has also worked as an Intelligence Officer for the Federal Bureau of Investigation, an Investigator for the New York State Office of the Attorney General, and a Fraud Investigator for the New York City Human Resources Administration. She is a regular speaker at American Conference Institute, Money 20/20 and other AML industry forums. She holds an MBA from Adelphi University and a Master’s in Government and Politics from St.John’s University.
Richard Barrett
Senior Vice President
The Soufan Group
Richard Barrett CMG OBE is a Senior Vice President at The Soufan Group, a security consultancy based in New York. He is also a Fellow at the New America Foundation in Washington, the Royal United Services Institute in London, and the Centre for Research and Security Studies in Islamabad. He is a board member and strategic advisor for various institutions including the International Centre for Counter Terrorism – The Hague, the Global Center on Cooperative Security in Washington, the Oxford Research Group in the UK, and Projects for the 21st Century in London and Washington. He also serves on the Independent Review Panel of the Global Community Engagement and Resilience Fund in Geneva. From March 2004 to December 2012 he was Coordinator of the Al-Qaida and Taliban Monitoring Team at the United Nations in New York and in 2005 he helped establish what became the United Nations Counter Terrorism Implementation Task Force following adoption by the General Assembly of the Global Strategy to Counter Terrorism in 2006. Before joining the United Nations, he worked for the British Government both at home and overseas with postings in Canada, Jordan, Turkey and the United States.
Phil DeLuca
Senior Vice President and Director of Compliance Controls
U.S. Bank
Mr. DeLuca is Senior Vice President and Director of Compliance Controls at U.S. Bank. Prior to joining U.S. Bank, he led the AML investigations department of a large global bank where he and his team pioneered the use of issue-based typology driven investigations. DeLuca has over 30 years of financial services investigations management experience and has conducted and managed numerous high profile/sensitive anti-money laundering/counter terrorist financing investigations. He has partnered with all levels of law enforcement to develop leading edge investigative strategies, and has been recognized by the highest levels of government for his leadership and expertise in leveraging an issue-based investigation approach to identifying data characteristics that are potentially indicative of human trafficking. Recently DeLuca was invited to present at the White House Forum to Combat Human Trafficking with a panel of colleagues from law enforcement and the technology industry. DeLuca regularly advises industry, government, and law enforcement agencies on typology development and data interrogation techniques to be more proactive and productive in detecting illicit financial activity.
Ross Delston, CAMS
Attorney + Expert Witness
Mr. Delston is a Washington, DC - based attorney, expert witness, Certified Anti - Money Laundering Specialist (CAMS), and former banking regulator(FDIC) who has specialized in Bank Secrecy Act and AML / CFT issues for over 15 years.He has been a consultant to the IMF and World Bank on AML / CFT and banking issues for 18 years and has participated in the AML / CFT assessments of nine offshore financial centers.Representative engagements include participating in two major compliance projects involving international banking, AML / KYC, and sanctions, including OFAC; five annual independent AML audits of a publically - held MSB; and acting as an expert witness and / or litigation consultant on BSA/ AML compliance in eight civil cases in Federal and state courts, including a civil forfeiture case as an expert for the U.S.Attorney’s Office(SDNY).Delston is co - author of two law review articles on trade - based money laundering and has been quoted in numerous publications, including the Wall Street Journal, American Banker, Hindu Business Line(India), and the Nikkei(Japan).Previously, he was a Consulting Counsel, IMF, specializing in AML / CFT issues; Of Counsel, Jones Day; Assistant General Counsel, Assisted Acquisitions, FDIC; and Counsel, US Export - Import Bank.
The Honorable Sue Eckert
Adjunct Senior Fellow
Center for a New American Security
Ms. Eckert is an Adjunct Senior Fellow at the Center for a New American Security, where she focuses on issues at the intersection of economics and national security. Research interests include economic statecraft, sanctions, terrorism and proliferation financing, and financial integrity. She was appointed by President Clinton as Assistant Secretary of Commerce for Export Administration, responsible for US dual-use export control and sanctions policies. Previously, she served on the professional staff of the US House of Representative's Committee on Foreign Affairs, where she oversaw technology transfer, international trade and sanctions, and national security/nonproliferation issues.
William Langford
Chief Compliance Officer
GE Capital

In 2015, William Langford joined GE Capital as the Chief Compliance Officer where he leads the team responsible for the firm’s global compliance program. Before joining GE Capital, he served as the Global Head of Compliance Architecture & Strategy at Citigroup, where he led the group responsible for compliance risk analytics and assessments, regulatory and data governance, and global compliance strategy. Previously, Mr. Langford held several positions at JPMorgan Chase & Co., including the Global Head of Compliance and Head of Enterprise Financial Crimes Compliance. Mr. Langford has also served as the Associate Director for the Regulatory Policy and Programs Division of the Financial Crimes Enforcement Network (FinCEN), a bureau of the U.S. Department of the Treasury. In this capacity, he oversaw the Bank Secrecy Act regulatory, compliance and enforcement functions for the Agency. Mr. Langford previously served as the Senior Advisor to the General Counsel of the U.S. Department of the Treasury, where he focused largely on the implementation of the anti-terrorism and anti-money laundering provisions of the USA PATRIOT Act, including the drafting of regulations implementing these provisions. Prior to joining Treasury, Mr. Langford practiced law with the Washington, D.C. law firm of Williams & Connolly LLP and the Boston law firm of Choate, Hall & Stewart, specializing in commercial litigation. He also served as a law clerk to the Honorable Royce C. Lamberth in the U.S. District Court for the District of Columbia.
Bronwen Macro
BSA/AML Risk Coordinator
Federal Reserve Bank of San Francisco
Ms. Macro is the BSA/AML Risk Coordinator at the Federal Reserve Bank of San Francisco. In this role, she identifies and monitors emerging BSA/AML and OFAC risks and supervisory issues, provides guidance and consultative services to supervisory staff, and works with counterparts throughout the Federal Reserve System to develop and deploy regulatory guidance. Previously, Macro was a risk examiner in various areas within the Financial Institution Supervision Group at the Federal Reserve Bank of New York. She led BSA/AML examinations of community, regional, and foreign banking organizations, and served as a Senior Examiner in the Counterparty Credit Risk area, where she analyzed and monitored exposure data of large financial institutions. Macro also worked for several years on the Comprehensive Capital Analysis and Review (CCAR). She is a graduate of Brown University.
Richard Small
Senior Advisor, Anti-Money Laundering & Financial Crimes
Ernst & Young LLP
Rick Small is Executive Vice President and Director of the Financial Crimes Program at BB&T Corporation responsible for all aspects of BB&T’s anti-money laundering and sanctions (OFAC) related programs. Rick has been designated by BB&T’s Board of Directors as BB&T’s Bank Secrecy Act (BSA) Officer. < br />< br />Rick has over 35 years of relevant experience working in both the public and private sectors.Rick’s private sector experience includes: Ernst & Young LLP, Senior Advisor, Anti-Money Laundering and Financial Crimes, Financial Services Office; American Express, Senior Vice President, responsible for Enterprise Wide Anti-Money Laundering, Anti-Corruption and International Regulatory Compliance; General Electric(GE Money), Global Anti-Money Laundering Leader; Citigroup, Managing Director responsible for Global Anti-Money Laundering.

Rick public sector experience includes: Board of Governors of the Federal Reserve System, Deputy Associate Director and Assistant Director; Division of Banking Supervision and Regulation responsible for enforcement and special investigations functions of Federal Reserve, including all Bank Secrecy Act and money laundering matters, as well as responsibility for conducting investigations of complex financial transactions, suspicious activities and related enforcement actions; United States Department of the Treasury, Senior Counsel for Law Enforcement; United States Department of Justice - - Federal Prosecutor with the Organized Crime Strike Force and the Antitrust Division.

Rick is currently Chairman of the Advisory Board of ACAMS (Association of Certified Anti-Money Laundering Specialists).
Emile van der Does de Willebois
Global Leader
Financial Market Integrity
The World Bank
Mr. van der Does de Willebois is a Global Leader, Financial Market Integrity and Senior Financial Sector Specialist at the World Bank. He specializes in issues of abuse of legal entities, beneficial ownership, and the use of non-profit entities for terrorist purposes. At the World Bank’s Financial Market Integrity unit, he was involved in technical assistance (legislative drafting and training) to Eastern Asian Pacific countries on Anti Money Laundering and Counter Terrorism Financing (AML/CFT). Previously he worked in private practice specializing in banking and securities law. He started his career at the Office of the Prosecutor at the International Criminal Tribunal for the former Yugoslavia in The Hague.
Get the latest news from CWRU Law directly to your inbox