Women We Admire is pleased to announce The Top 25 Women Chief Compliance Officers of 2024. In today’s complex regulatory landscape, businesses and organizations must adhere to industry-specific laws and regulations. The chief compliance officer (CCO) plays a crucial role in ensuring this adherence, mitigating risk, and preventing legal complications through the development and management of robust compliance programs. These leaders are defined by their unwavering integrity and comprehensive understanding of regulatory requirements, making them indispensable to their organizations.

First, we honor Jodi Faustlin, Chief Compliance Officer of Healthcare Compliance Pros. With a law degree and notable contributions to the healthcare field, Faustlin is dedicated to process improvement and innovation at HCP.

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Next, we celebrate the career of Tracy Strong, CCO and Chief Privacy Officer of Labcorp. With over 20 years of experience and a deep knowledge of healthcare law, Strong has expertise in commercial litigation, legal research, and privacy law.

Lastly, we acknowledge financial executive Kathryn Vengerovskiy, CCO and Vice President of Legal at True Green Capital Management LLC. With a solid background in corporate and transportation law, Vengerovskiy specializes in legal structuring and documentation for tax equity, debt, and sale-leaseback financings.

Please join us in celebrating the accomplishments of The Top 25 Women Chief Compliance Officers of 2024.


1. Tamsin Fast
Chief Compliance Officer, Aramark

Tamsin Fast is Chief Compliance Officer at Aramark, a $16 billion global leader in food, facilities management, and uniforms with 270,000 employees in 19 countries. In this role, Fast is responsible for the strategic direction and operations of Aramark’s global compliance program and provides regular updates to the Audit Committee of the Board of Directors. She has held this position since 2017.

Fast joined Aramark in 2007 as an in-house employment lawyer. In that role, she built an employment law team responsible for employment law strategy, litigation, and government investigations in the US, and implemented Aramark’s wage and hour and background check compliance programs. Before Aramark, Fast practiced employment law at Morgan Lewis, where she received recognition in Chambers USA as a leading labor and employment lawyer in Pennsylvania.

Fast holds a JD from NYU School of Law and a BA in History from the University of Pennsylvania. She lives in Philadelphia with her husband and two sons. In her spare time, she plays the violin with the Lansdowne Symphony Orchestra.


2. Wendy Millette
Global Chief Compliance Officer & EVP, Fresenius Medical Care

As Chief Compliance Officer of Fresenius Medical Care, Wendy Millette leads the team in developing sustainable plans of correction and improvements to business processes. Fresenius Medical Care is the world’s leading provider of products and services for individuals with renal diseases. 

Millette joined the company in 2007 as vice president and associate general counsel, managing the North American Litigation department. In 2014, she transitioned to vice president of regulatory affairs for Fresenius Kidney Care, where she interacted extensively with the Centers for Medicare & Medicaid Services and state health departments. In this role, she gained an in-depth understanding of clinic operations while developing and overseeing the company’s internal mock survey program. Before joining Fresenius Medical Care, Millette spent seven years as a litigation attorney at Holland & Knight in Boston.

Millette holds a Bachelor's degree in Psychology from the University of Massachusetts Boston and a JD from the University of Connecticut School of Law. 


3. Gazala Khan
Chief Compliance Officer, US Bank

Gazala Khan is the Chief Compliance Officer of US Bank. At US Bank, they help millions of clients achieve their goals with a balance of best-in-class technology and human expertise tailored to individual needs. 

Khan has over 20 years of compliance experience, including six years with the SEC's Office of Compliance Inspections and Examinations. SHE started her career in 2005 as a vice president at Goldman Sachs. From there, she went on to Goldman Sachs Asset Management, before eventually rising to chief compliance officer at Matthews International Capital Management, her most recent position before joining the US Bank. Khan holds professional designations as a CPA and MBA. She received her MBA in Finance and Financial Management Services from Saint John’s University.


4. Jillian Marcus
Chief Compliance Officer, Envision Healthcare

Jillian Marcus has served as the Chief Compliance Officer for Envision Healthcare since 2018. Envision Healthcare is a leading medical group that delivers physician and advanced practice provider services, primarily in the areas of emergency and hospitalist medicine, anesthesiology, radiology/teleradiology, and neonatology.

Marcus has more than 20 years of experience practicing healthcare and contract law. She joined Sheridan Healthcare in 2002, serving as the senior vice president and general counsel from 2014 until the Envision merger with AMSURG. In 2016, she assumed the role of general counsel of the company’s Envision Physician Services division before moving into her current role.

Before joining the company, Marcus was an attorney in private practice from 1998 through 2002. She was also a general counsel and senior vice president at Sheridan Healthcorp, Inc. Before that, she was a senior counsel at The Hackett Group. Earlier in her career, she worked with Weil, Gotshal & Manges LLP as an attorney. Marcus earned her Bachelor of Arts degree from the University of Florida and her law degree from the University of Florida College of Law.


5. Rowena Spigarelli
Chief Compliance Officer, RWJBarnabas Health

Rowena Spigarelli is the Chief Compliance Officer of RWJBarnabas Health, a network of independent healthcare providers in New Jersey, based out of West Orange. Members include academic centers, acute care facilities, and research hospitals. The goals of the network include collaboration on educational and research programs. 

Spigarelli has 30 years of experience. Before joining RWJBarnabas Health, she was a vice president of compliance at Barnabas Health. Before that, she was a director of compliance operations at Saint Barnabas Health Care System. Earlier in her career, she worked with multiple hospitals as a nurse.

Spigarelli possesses extensive knowledge in critical care, healthcare, and healthcare management, with particular expertise in telemetry and hospital operations. Her skills also include a strong understanding of HIPAA regulations, as well as the ability to effectively manage and support registered nurses and nursing practices. Spigarelli graduated from New England Law, Boston, with a JD in Law and from The College of New Jersey with an undergraduate degree in nursing.


6. Leah Voigt
Chief Compliance Officer, Corewell Health

Leah Voigt began her professional career 18 years ago. Today, she is the Chief Compliance Officer of Corewell Health, a not-for-profit health system that provides healthcare and coverage with an exceptional team of over 65,000 dedicated people.

Voigt has a strong foundation in relationship building and service orientation, coupled with expertise in privacy and health law, particularly in the context of HIPAA and corporate governance. Her skills extend to healthcare information technology, healthcare management, and leadership, all supported by her knowledge of clinical research and executive leadership. Additionally, she is well-versed in policy development and the US Health Insurance Portability and Accountability Act (HIPAA). Voigt started her career in 2006 as an associate attorney at Hall Render. From there, she went on to Squire Sanders & Dempsey, before eventually rising to chief compliance officer at Spectrum Health, her most recent position before joining Corewell Health.

Voigt graduated from Loyola Law School, Los Angeles, with a JD and from the University of Michigan School of Public Health with a Master of Public Health in Health Policy. She has an undergraduate degree in biology and dance from Smith College. Voigt has been serving as a board member for the Grand Rapids Symphony since May 2021 and for the Grand Rapids Ballet since May 2016.


7. Tracy Strong
Chief Compliance Officer & Chief Privacy Officer, Labcorp

Tracy Strong is the Chief Compliance Officer and Chief Privacy Officer of Labcorp. She first joined the company in 2009 as compliance counsel. As a global leader in innovative and comprehensive laboratory services, Labcorp helps doctors, hospitals, pharmaceutical companies, researchers and patients make clear and confident decisions. 

Strong has extensive expertise in commercial litigation, legal research, and privacy law, with notable experience in legal writing, civil litigation, and corporate law. Her skills also encompass class actions, competition law, and litigation management. She is adept in handling appeals and managing cases related to unfair competition, data privacy, and compliance. Additionally, she possesses a strong knowledge of healthcare law, adding depth to her legal acumen. Previously, Strong was an associate at Jones Day. Earlier in her career, she worked with Pillsbury Winthrop Shaw Pittman as an associate.

Strong earned a JD from the University of California, College of the Law, San Francisco (formerly UC Hastings) and an undergraduate degree in sociology from the University of Utah. She served as a board member of the AIDS Legal Referral Panel from January 2006 to January 2009. Later, she joined the board of North Carolina Arts in Action, where she served from January 2018 to January 2021.


8. Kelly O'Brien
Chief Compliance Officer, M&T Bank

Kelly O'Brien is the Chief Compliance Officer of M&T Bank, a multi-state community-focused bank serving New York, Maryland, New Jersey, Pennsylvania, Delaware, Connecticut, Virginia, West Virginia, and Washington DC.

O'Brien is an experienced chief compliance officer and senior executive vice president, known for her compliance-focused, people-oriented, and community-driven approach. Before joining M&T Bank, she was a compliance manager and AVP, focused on mortgage and consumer lending services, at First Niagara Bank. Before that, she was a legal clerk at New Era Cap Co., Inc. Earlier in her career, she worked as a paralegal.

O'Brien graduated from the University at Buffalo School of Law with a JD in Banking, Corporate, Finance, and Securities Law and from Fairfield University with an MBA in International Business/Accounting. She has an undergraduate degree in English and Spanish from St. Bonaventure University. She was admitted to practice law in New York in February 2013 and holds certifications as a Certified Regulatory Compliance Manager (CRCM) and a Certified Anti-Money Laundering Specialist (CAMS).


9. Jacqueline Angell
Chief Compliance Officer, Vanguard

Jacqueline Angell is the Chief Compliance Officer of Vanguard. Since Vanguard’s founding in 1975, helping investors achieve their goals has been their main reason for existence. 

Angell is an experienced and pragmatic chief compliance officer with over 20 years of expertise in developing and calibrating compliance programs to achieve positive regulatory and commercial outcomes. As a global leader, she has a proven track record of building and nurturing highly motivated and effective teams. Known for her collaborative approach, she enables business and product growth while fostering strong relationships with regulators.

Angell started her career in 1999 as a legal product manager at Fidelity Investments. From there, she went on to State Street Global Advisors, before eventually rising to chief compliance officer at State Street, her most recent position before joining Vanguard. Angell graduated from Suffolk University Law School with a JD and from the University of Massachusetts Lowell with an undergraduate degree in applied science.


10. Jennifer Morrison
Chief Compliance Officer, TeamHealth

Jennifer Morrison is the Chief Compliance Officer of TeamHealth. She first joined the company in 2015 as the vice president of compliance. TeamHealth is a physician-led, patient-focused company.

With more than 15 years of experience, Morrison brings notable healthcare law and compliance expertise to the executive leadership team. She oversees the compliance and ethics program, ensuring the company complies with laws, rules, and regulations that govern its business. She has shown great leadership by expanding the annual risk assessment and compliance work plan and implementing new investigation and auditing processes. Before joining TeamHealth, Morrison served as director of compliance and privacy at Bayfront Health St. Petersburg, where she established and managed the corporate compliance program at the level II trauma center and its affiliated business units. She also served as division compliance officer and assistant general counsel at Health Management Associates.

Morrison received her undergraduate degree from the University of South Florida and a law degree with a certificate of concentration in health law at Stetson University College of Law in St. Petersburg, Florida.


11. Jacqueline Thomas
Chief Compliance Officer, Toyota North America

Jacqueline Thomas is the Chief Compliance Officer for Toyota Motor North America (TMNA). Thomas is responsible for providing strategic direction and leadership over multiple departments, including internal audit, compliance and ethics, regulatory compliance, risk financing, EHS, business continuity, strategic security, customs, trade compliance, and privacy. Her division ensures compliance with laws, regulations, and internal policies and procedures upholding Toyota's commitment to integrity and principled performance.

Thomas is a member of the North American Management Council, which sets strategy and mid- to long-term business plans. She serves as an advisor to the TMNA Audit Committee, Compliance Advisory Council, and Risk Committee and as a roundtable member of the Global Office of the deputy chief risk officer. She is the highest-ranking Latina and reports directly to the CEO. Thomas has served as an active co-executive sponsor for TODOS (Toyota Organization for the Development of LatinOS) North American Advisory Council (NAAC) and executive member of 10 other Toyota Business Partnering Groups, which are team member-led groups that foster a diverse, inclusive workplace aligned with the Toyota mission, values, goals and objectives.

Thomas was featured in the Hispanic Executive magazine in 2018, and she was nominated for 100 Leading Women in the North American Auto Industry in 2019 and 2020. She is active in several church and community programs and is currently a member of the Latino Corporate Directors Association, the Corporate Executive Board, the Compliance & Ethics Leadership Council, the Institute of Internal Auditors, and the Society of Corporate Compliance and Ethics. Thomas earned a Bachelor’s degree in Economics from the University of California, Los Angeles, and is a Certified Compliance & Ethics Professional (CCEP).


12. Teresa Berman
Chief Compliance Officer, Magellan Health

Teresa Berman is the Chief Compliance Officer of Magellan Health, the leader in managing complex health journeys. In this role, Berman leads the corporate compliance department for Magellan and is responsible for maintaining a compliance program that follows the US Department of Health and Human Services Office of the Inspector General's seven elements of an effective compliance program. She also oversees the company's HIPAA privacy program and the statutory and regulatory compliance guidance that is provided by the corporate compliance team to the company.

Berman has over 25 years of significant leadership experience in compliance program structure and management, corporate governance, healthcare company licensing, regulatory diligence, healthcare law, and risk management. She began her tenure at Magellan in 2000 and has served as the chief compliance officer since 2022. Before assuming her current role, she served as the deputy chief compliance officer for Magellan. 

Before joining Magellan, Berman was the director of health policy and reimbursement for the Federated Ambulatory Surgery Association (now the Ambulatory Surgery Center Association). She earned her Bachelor’s degree in Psychology from the University of Pittsburgh and her JD from the University of Pittsburgh School of Law.


13. Terra Dubois
Chief Compliance Officer, Tufts University

Terra Dubois is the Chief Compliance Officer of Tufts University. She first joined the team in 2024. Tufts University is an independent, privately supported, nonsectarian institution of higher education. 

In this role, Dubois leads and coordinates compliance initiatives and operations across the UF enterprise. She chairs an enterprise-wide Compliance Committee, which includes compliance leaders from UF and its affiliate organizations, such as UF Health, the UF Privacy Office, and others, to ensure effective coordination across the UF enterprise and appropriate communication with the UF Board of Trustees. Dubois is responsible for coordinating enterprise-wide compliance training and policy and procedure development. Further, she serves as UF’s compliance liaison to the Board of Governors.

Before assuming this role, Dubois served as UF’s assistant vice president for research compliance and as research integrity officer. She also held compliance positions at the Georgia Institute of Technology and the University of Idaho. She began her career as an attorney for the US Environmental Protection Agency. She received both her undergraduate and law degrees from the University of Florida.


14. Kerry Brady
Chief Compliance Officer, Community Options, Inc.

Kerry Brady has over 25 years of executive leadership experience, committed to improving the lives of people with developmental disabilities. She has a strong track record of quality improvement in large-scale operations, specializing in regulatory compliance and operations management. Currently, she serves as the Chief Compliance Officer for Community Options, Inc. Community Options is a national non-profit organization that develops housing and employment support for over 5,000 people with disabilities across 12 states. Kerry leads the design, development, implementation, and maintenance of organizational wide compliance, risk management system, policies and procedures development, and standardization of processes.

In her former role as State Director of New York at Community Options New York Inc., Kerry oversaw state operations across five regions, managing an executive team and more than 400 employees. Kerry developed and implemented strategic plans to improve quality and compliance systems, ensuring financial sustainability and responsible resource allocation.

Kerry holds a postgraduate certificate in non-profit accounting from Baruch College, an MS in counseling psychology from Long Island University, and a BA in psychology from Mercy College.


15. Kathryn Vengerovskiy
Chief Compliance Officer & VP of Legal, True Green Capital Management LLC

Kathryn Vengerovskiy is the Chief Compliance Officer and Vice President of Legal at True Green Capital Management LLC. She is primarily responsible for overseeing and implementing all SEC compliance requirements. Additionally, she is focused on legal structuring and documentation on tax equity, debt, and sale-leaseback financings in addition to management of all corporate work and fund closing logistics. True Green Capital Management LLC is a specialized renewable energy infrastructure private equity firm focused on the US and Europe. 

Vengerovskiy possesses a strong background in corporate law and transportation law, complemented by her expertise in compliance and legal research. Her skills also extend to corporate finance and governance, with significant experience in real estate and banking. Additionally, she has a solid understanding of asset management, reflecting her broad industry knowledge and versatility in legal and financial domains.

Before joining TGC in 2016, Vengerovskiy served as an assistant vice president, managing paralegal and compliance for asset management, at Credit Suisse, where she handled complex compliance and paralegal responsibilities. Before this, she worked at BBAM LLC as a paralegal and compliance specialist in asset management. Her experience also includes a lengthy tenure at Watson Farley & Williams, where she specialized in asset finance, and earlier roles in corporate litigation at Bransford & Petz. Vengerovskiy holds a BA in Political Science from Northeastern University.


16. Gisele Molloy
Chief Compliance Officer, CareCentrix

Gisele Molloy has been the Chief Compliance Officer at CareCentrix since 2011. CareCentrix offers value-based home solutions to payors and health systems to help more of their members access the home care they need, when they need it.

Molloy’s specialties include healthcare, insurance, and managed care. She is skilled in state and federal law compliance, regulatory affairs, and managing provider, payer, and vendor contracts. Her expertise extends to due diligence and acquisitions, as well as commercial, Medicare, and Medicaid programs. She has a strong background in addressing fraud, waste, and abuse, and is adept in privacy and security measures. Additionally, Molloy focuses on risk management, negotiation and conflict resolution, litigation management, and audits and accreditation. Her extensive experience also encompasses overall management.

Previously, Molloy served as the vice president and associate general counsel at Viant from 2007 to 2010, and as the associate chief counsel at Cigna from 1992 to 2007. Molloy has a degree in finance from Dalhousie University and a JD with High Honors from the University of Connecticut School of Law.


17. Jennifer Moxon
Chief Compliance Officer, Masterworks

Jennifer Moxon is the Chief Compliance Officer of Masterworks. She first joined the company in 2023. A full-service marketing agency committed to world-class strategy and creativity, Masterworks is democratizing the art market and offering exclusive access to invest in blue-chip paintings worth millions of dollars.

Moxon has extensive experience in compliance management spanning multiple companies. She started as a corporate actions analyst at State Street Bank & Trust in 2002, before becoming a compliance analyst at Deutsche Bank. In 2003, she transitioned to Janus, where she held roles as compliance manager and later as senior compliance manager. She then moved to Knowledge Leaders Capital, LLC as chief compliance officer. Following this, she founded Comprehensive Compliance Partners LLC, where she served as the managing member for almost a decade. She then joined Personal Capital, first as director of compliance, then as senior director of compliance, and finally as the chief compliance officer.

Moxon earned a Bachelor of Arts in Spanish Literature and Latin American Studies from the University of Colorado Boulder in 1999.


18. Ladonna Resch
Chief Compliance Officer, Bell Bank

Ladonna Resch has extensive experience in the banking industry, specializing in compliance. She is currently the Chief Compliance Officer at Bell Bank. The Bell Bank team provides unequaled personal service, working in the best interest of those they serve in an award-winning workplace that promotes success, recognizes achievement, and offers an environment focused on having fun while helping others. 

Resch is a senior leader with over 25 years of compliance management experience in the financial services industry. She has developed, implemented, and continues to maintain a robust consumer compliance program that aligns with the consumer compliance risk management principles of the Consumer Financial Protection Bureau and the Office of the Comptroller of the Currency. Previously, Resch held various roles at TCF Bank, including director of regulatory compliance senior vice president, senior compliance manager senior vice president, compliance officer vice president, and compliance specialist assistant vice president. Resch also worked as a compliance specialist at American Bank, NA.

Resch holds a Bachelor's degree in Organizational Management and Leadership from Concordia University-St. Paul. She also obtained an Associate of Science in Paralegal from Inver Hills Community College. Additionally, she has certifications in CAMS from ACAMS and CRCM from ABA Bank.


19. Carolina Ceballos
Chief Compliance Officer, Paxos

As a leading figure in global compliance, Carolina is dedicated to developing secure platforms that support business growth while combating financial crimes and protecting users online.

Throughout her career at Paxos, Meta, and Western Union, she has excelled in aligning business objectives with regulatory requirements, navigating complex compliance landscapes, and scaling global compliance programs to build trust and uphold integrity. At Paxos, Carolina played a critical role in ensuring regulatory compliance, solidifying the company’s standing as a trusted blockchain infrastructure provider. At Meta, she advanced payments compliance through technological innovation and process improvements, facilitating safe interactions for billions of users. Throughout her tenure at Western Union, Carolina also enhanced their compliance framework by implementing robust BSA/AML/OFAC and anti-corruption enhancements across 98 countries and territories.

Carolina is also known for her ability to influence and manage stakeholders effectively, communicating compliance strategies to executives and boards. She excels at navigating regulatory uncertainty and ambiguity, solving complex global challenges with a positive outlook and data-informed decision-making. Carolina has a proven track record of driving global initiatives, leveraging her strategic vision to deliver impactful results and enhance compliance programs. She skillfully balances strategy with pragmatism, integrating long-term goals with actionable solutions to meet compliance objectives. As a leader, she is dedicated to developing high-performing teams, fostering collaboration, and mentoring talents to achieve strategic goals and operational success.


20. Mabel Goonan
Chief Compliance Officer, CardWorks

Mabel Goonan is the Chief Compliance Officer of CardWorks, a leading credit and payments company and a people-centric, compliance-focused organization enabled by data and technology. 

Goonan excels in banking, financial analysis, and relationship management. Her expertise extends to litigation, business process improvement, and operational risk management. She possesses strong skills in managing credit cards, financial services, and financial risk. Her capabilities in vendor management, business analysis, and risk management are exceptional. She is adept at process improvement, credit management, portfolio oversight, and credit risk assessment. 

In her previous roles, Goonan served as an executive director at JPMorgan Chase & Co., focusing on strategic leadership and operational excellence. Before this, she was a VP of compliance and operational risk at CardWorks, managing compliance and risk strategies. Earlier in her career, she held various positions at JPMorgan Chase & Co., including the vice president of operational risk, where she was responsible for overseeing and mitigating operational risks across the organization.


21. Kim Masters
Chief Compliance Officer, Fairfax Radiology Centers

Kim Masters is the Chief Compliance Officer of Fairfax Radiology Centers (FRC). She first joined the company in 2020. FRC is the largest radiology practice in the Washington DC metropolitan area. With more than 110 subspecialized radiologists and 700 employees, FRC provides leading-edge medical imaging at 20 outpatient locations throughout Northern Virginia.

Previously, Masters served as chief compliance officer at Fairfax Radiological Consultants, where she led compliance initiatives and risk management. Before this, she was a senior director of patient financial services and risk management, overseeing financial operations and risk strategies. She also held the position of senior director of compliance and quality improvement, focusing on enhancing compliance and quality standards. Earlier in her career, she was vice president of operations at Diagnostic Health Corporation. She began her career as the director of operations at HealthSouth, managing various operational aspects.

Masters earned a Bachelor of Science in Public Health and Wellness from James Madison University.


22.  Pierrette Bradshaw
Chief Compliance Officer, MidCap Financial

Pierrette Bradshaw has served MidCap Financial Services, LLC as the Chief Compliance Officer since 2017.  Prior to joining MidCap Financial, Ms. Bradshaw was the Chief Legal Officer and Chief Compliance Officer at CapitalSpring Finance Company, LLC, a private equity company in New York City. 

Ms. Bradshaw began her 38-year professional career as a law clerk for the United State Federal District Court Judge, the Honorable Peter C. Dorsey in Hartford, CT after law school, followed by courtroom litigation, worldwide intellectual property (trademark) protection with Revlon, business transactional law, and now corporate and compliance oversight. She served as the Associate General Counsel at CapitalSource Finance Company LLC, overseeing all real estate transactions within the structured finance, healthcare finance and commercial groups from 2002-2012.  Previously, Ms. Bradshaw served as SVP and Divisional Counsel to General Motors Acceptance Corporation (GMAC) Commercial Finance LLC in Atlanta, GA. where she oversaw financing of commercial aircraft and maritime assets; further served as a founding partner and General Counsel of the Atlanta based specialty finance firm, Peachtree Franchise Finance LLC. Ms. Bradshaw’s diversified opportunities have afforded her a breadth of experiences in law and in compliance for which she is forever grateful to continuously learn and teach others.

Ms. Bradshaw holds a B.S. in Political Science from Connecticut College, and Juris Doctorate from the Dickinson School of Law/Penn State. She also served as exchange student to the London School of Economics and University of Florence School of Law, Italy. She holds bar admissions in Connecticut and the District of Columbia.  She is a wife and mother of three amazing girls and subscribes to the philosophy of hard work, add value to what you do, treat all with respect, and not wait for opportunity to knock, but rather just keep opening doors on your own.


23. Shannon Kelley
Chief Compliance Officer, Madrigal Pharmaceuticals

Shannon Kelley is the Chief Compliance Officer of Madrigal Pharmaceuticals. Madrigal is a biopharmaceutical company pursuing novel therapeutics for non-alcoholic steatohepatitis (NASH), also known as metabolic dysfunction-associated steatohepatitis (MASH).

Kelley has more than 20 years of diverse healthcare experience as a compliance and legal professional, which will support Madrigal’s responsible growth. She joined Madrigal from Sanofi, where she served in roles of increasing responsibility. She was most recently vice president and chief compliance officer of North America and Global Specialty Care, responsible for compliance across all therapeutic areas. Before Sanofi, Kelley was global compliance and commercial legal counsel for Boston Scientific Corporation. Earlier in her career, she spent 10 years in enforcement roles with the federal government. Kelley was a trial attorney for the Department of Justice in Washington DC and an Assistant United States Attorney and Deputy Chief of Litigation for the US Attorney’s Office for the District of Massachusetts focused on healthcare matters.

Kelley graduated from American University Washington College of Law with a JD and from Georgetown University with an undergraduate degree in foreign service.


24. Jodi Faustlin
Chief Compliance Officer, Healthcare Compliance Pros

Jodi Faustlin is a visionary healthcare executive celebrated for her profound expertise in compliance and regulations, multi-specialty medical practices, operational excellence, strategic planning, and performance improvement. Faustlin’s dedication to continuous process improvement and innovation has made her a respected leader in her field. Currently serving as the Chief Compliance Officer at Healthcare Compliance Pros (HCP), her strategic vision and operational acumen drive organizational success and foster a culture of excellence. Her leadership is characterized by a relentless pursuit of quality and a deep-seated belief in the power of teamwork and collaboration. 

With a professional law degree and a career marked by significant contributions to the healthcare industry, Faustlin has consistently demonstrated her commitment to enhancing the healthcare experience for providers, patients, and staff alike. Her journey in healthcare began with a focus on the fundamentals of the revenue cycle, which laid the groundwork for her transition into advocacy and government regulatory affairs. This experience ignited her passion for compliance, driving her to become a fervent advocate for following and improving the rules that govern healthcare.

Outside of work, Faustlin enjoys staying active through cycling, hiking, and traveling to new destinations. She also appreciates spending time with her family and friends. She believes in giving back to her community by volunteering for her professional associations, animal welfare causes, and victim support organizations, which provide her with a well-rounded perspective and a source of inspiration.


25. Miriam Kraus
Chief Compliance Officer, HopeWay

Miriam Kraus is the Chief Compliance Officer of HopeWay, an accredited nonprofit mental health treatment organization in Charlotte, NC, that provides best-practice behavioral healthcare and education for clients and their families. At HopeWay, Kraus is responsible for the management and implementation of all aspects of regulatory compliance and accreditation, including compliance with North Carolina statutes, The Joint Commission standards, and third-party payor requirements. 

Kraus received her Bachelor of Science in Nursing from Azusa Pacific University in California. She went on to earn her Master of Science in Nursing focused on Advanced Practice Nursing: Family Nurse Practitioner from there, as well. She is a board-certified Family Nurse Practitioner and Certified Professional Compliance Officer.

Before joining HopeWay in 2016, Kraus developed her patient care and healthcare compliance expertise through several diverse healthcare service models and patient populations. She was most recently employed at First Step Recovery Center in California as the assistant medical director and vice president of operations and compliance. Kraus is highly skilled in the treatment and management of patients with acute and chronic medical diagnoses, substance use disorders, substance use detoxification needs, and complex pain management needs.