Senior Director, Insurance Practice
John is a Senior Director at Centri Business Consulting within the firm’s Insurance Practice. He has over 38 years of public accounting and management consulting experience serving both public and non-public clients within the Financial Services and Insurance sectors. He has assisted clients ranging from startups to Fortune 50 on a range of engagements within audit, advisory, and tax, as well as corporate governance, strategy, mergers and acquisitions, Due Diligence, new business development, talent management, Enterprise Risk Management, and Internal Audit. His insurance clients include all elements of the insurance market, including property/casualty, life and annuity, health payers/providers, reinsurance and related brokers, agencies, program managers, and affiliates.
Prior to his time with Centri, John’s experience included accounting and financial reporting on both a statutory accounting and GAAP basis, merger and acquisitions, due diligence, risk management, governance, internal controls, and internal audit department process/best practices and benchmarking to identify control efficiency and effectiveness and improvement opportunities. He has significant Merger and acquisition experience advising Corporate Boards, Chief Audit Executives, and internal audit departments focused on M&A Top Integration Risk, Transaction, and Business Risks. John has extensive experience serving Board and Audit/Risk Committees to provide a greater awareness of the risks and opportunities confronting the Enterprise and the Industry.
John received an M.B.A. in Finance from the University of Saint Joseph’s in 1986 and a B.S. in Accounting from the University of Saint Joseph’s in 1982. In addition to having an actively licensed Certified Public Accountant (CPA), John is also a licensed FLMI.