PRINCIPAL AND DIRECTOR OF RISK ADVISORY GROUP
SHAWN A. KACIUBIJ, CPA, CFE
With 25 years of industry experience, Shawn is a valuable resource for his clients regarding accounting, internal control, compliance, and tax issues they encounter. His extensive experience relating to financial institutions includes all aspects of internal audits, risk assessments, regulatory compliance, and the implementation, documentation, and evaluation of the Federal Deposit Insurance Corporation Improvement Act (FDICIA) and Sarbanes-Oxley Act requirements. Shawn’s client relationships include banks, nonprofit organizations, thrifts, credit unions, and trust, brokerage, and mortgage banking companies. Shawn has directed engagements of varying sizes and types for a wide array of financial institutions, with assets ranging in size from de novo to multi-billion dollar.
Meet Our People
MICHAEL A. ZENO
Analyzing today's risk and tomorrow's opportunities.
Subscribe to the S.R. Snodgrass
newsletter now.
PRINCIPAL AND DIRECTOR OF RISK ADVISORY GROUP
SHAWN A. KACIUBIJ, CPA, CFE
With 25 years of industry experience, Shawn is a valuable resource for his clients regarding accounting, internal control, compliance, and tax issues they encounter. His extensive experience relating to financial institutions includes all aspects of internal audits, risk assessments, regulatory compliance, and the implementation, documentation, and evaluation of the Federal Deposit Insurance Corporation Improvement Act (FDICIA) and Sarbanes-Oxley Act requirements. Shawn’s client relationships include banks, nonprofit organizations, thrifts, credit unions, and trust, brokerage, and mortgage banking companies. Shawn has directed engagements of varying sizes and types for a wide array of financial institutions, with assets ranging in size from de novo to multi-billion dollar.
Meet Our People
MICHAEL A. ZENO
Analyzing today's risk and tomorrow's opportunities.
Subscribe to the S.R. Snodgrass
newsletter now.
PRINCIPAL AND DIRECTOR OF RISK ADVISORY GROUP
SHAWN A. KACIUBIJ, CPA, CFE
With 25 years of industry experience, Shawn is a valuable resource for his clients regarding accounting, internal control, compliance, and tax issues they encounter. His extensive experience relating to financial institutions includes all aspects of internal audits, risk assessments, regulatory compliance, and the implementation, documentation, and evaluation of the Federal Deposit Insurance Corporation Improvement Act (FDICIA) and Sarbanes-Oxley Act requirements. Shawn’s client relationships include banks, nonprofit organizations, thrifts, credit unions, and trust, brokerage, and mortgage banking companies. Shawn has directed engagements of varying sizes and types for a wide array of financial institutions, with assets ranging in size from de novo to multi-billion dollar.