Mark Hubbert is the business risk and control leader for Wells Fargo Advisors. In this role, he is responsible for the oversight of the control environment, in line with regulatory and Corporate Risk programs, and for counseling business leaders on risks, issues, remediation, and regulatory interactions. He also sits on the Wells Fargo Advisors Operating Committee.
Mark has been with Wells Fargo & Company for 26 years, with extensive experience leading and directing risk management and operational activities. Most recently, he was chief risk officer for Wells Fargo Advisors, where he was responsible for managing all retail brokerage risks associated with markets, trading, technology, operations, products, credit, information security, privacy, fraud, and business continuity planning. Before that, he held chief operating officer roles for the bank brokerage channel. Earlier in his career, Mark worked for almost 10 years with Citicorp in numerous roles, his last being chief compliance officer.
Mark graduated with a bachelor’s in business and economics from Colby College and holds an MBA from Columbia University.
In his free time, he serves as an alumni interviewer for prospective applicants to Colby College and is a board member for the St. Louis Zoo Association.
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