Overview
TRANSFORMING RISK
We bring vision, knowledge, strong expertise, and a practical approach to building capabilities for our clients, creating for them confident peace of mind.
Leadership
Organizations recognize us for our innovations in managing regulatory risk and implementation of best practices.
Leadership is achieved through influence gained from respected behavior.
Whether serving as a comprehensive independent plan administrator, guiding benefit plan committees on governance, risk management, and compliance principles, implementing ERISA-centric cybersecurity programs, or collaborating in the development of fiduciary standards Roland|Criss is recognized for its authenticity and breadth of competency.
Our Leadership Team
With exceptional people who are skilled in fiduciary practices, we combine regulatory and operations expertise to help you achieve your enterprise’s risk tolerance goals.
At all times, we will adhere to the highest standards of professional ethics and will serve our clients with integrity and competence, always placing client interest ahead of our own.
Ron W. Hagan
Serves as our firm’s President and Chief Operating Officer
Christine
Denton, AIFA®, GRCP®
Denton, AIFA®, GRCP®
Executive Vice President in our Risk Practice Group
Ronald E. Hagan, GRCP®
Executive Director, Risk Standards Development
Ashley Gutkowski
Vice President, Client Services
Vice President, Client Services
Kristi Arthur, AIF®
Senior Director of Fiduciary Solutions
Donald (Donny)
Denton, AIFA®, QKA®
Denton, AIFA®, QKA®
Senior Vice President in charge of service provider assessments and vendor ratings
Celina McMillan
Director of ERISA 3(16) Services