Cheryl Wichers
About Cheryl Wichers
Cheryl Wichers serves as the Chief Compliance Officer at Russell Investment Group, a position she has held since 2005. She earned her Bachelor's degree in Business Administration from Calvin University, where she studied from 1985 to 1989.
Work at Russell Investments
Cheryl Wichers has served as the Chief Compliance Officer at Russell Investment Group since 2005. In this role, she is responsible for overseeing compliance with regulatory requirements and internal policies. Her tenure at Russell Investments spans 19 years, during which she has contributed to the firm's commitment to maintaining high standards of compliance and governance.
Education and Expertise
Cheryl Wichers earned a Bachelor's degree in Business Administration from Calvin University, where she studied from 1985 to 1989. This educational background has equipped her with a solid foundation in business principles, which she applies in her role as Chief Compliance Officer.
Background
Cheryl Wichers has a background in compliance and regulatory affairs, with extensive experience in the financial services industry. Her career has been marked by a focus on ensuring that organizations adhere to legal standards and internal policies, which is critical in the investment sector.
Professional Experience
With nearly two decades of experience at Russell Investments, Cheryl Wichers has developed a deep understanding of compliance issues within the investment management industry. Her role involves collaborating with various departments to ensure that compliance measures are effectively implemented and maintained.