Mallory is a senior manager at HORNE where she serves financial institutions. Specializing in internal audit and risk management capacities, she guides financial institutions with regulatory compliance matters, including Bank Secrecy Act/Anti-Money Laundering (“BSA/AML”) compliance, to help them identify areas for opportunity and effectively manage risk. She has conducted independent audits and risk assessments and provided consulting related to compliance for banks, credit unions, farm credit associations, and non-bank financial institutions, including money services businesses.
Mallory has presented at various conferences for bankers and audit committees and represented HORNE as a subject matter expert on regulatory compliance. She leads compliance training regularly for clients and team members.
Mallory joined the firm in 2018. She earned a Bachelor of Business Administration in Accounting from Mississippi College.