Craig Tepper

Managing Director – Internal Audit - Head of the Combined U.S. Operations (CUSO) Financial Crimes and Corporate Compliance, RBC

Craig serves as the Head of RBC’s U.S. Financial Crimes and Corporate Compliance audit function. In Craig’s role, he leads Financial Crimes audit coverage across RBC’s U.S. Capital Markets, Wealth Management, and consumer banking businesses, and covers Regulatory Compliance across RBC’s U.S. Capital Markets and Wealth Management. Prior to joining RBC, Craig began his audit career at  Goldman Sachs, where he co-led the U.S. Financial Crimes audit portfolio. Prior to Goldman, Craig commenced his Financial Crimes-related career at MUFG, where he served on the KYC and EDD team within the Second Line. Craig received his B.S. in Business from Penn State University, and his J.D. from the Benjamin N. Cardozo School of Law. Craig resides in New Jersey with his wife, two sons, and dog Teddy.