J. David Thompson
Senior Vice President
Chief Fiduciary Risk Officer
THE BANK OF NEW YORK
MELLON CORPORATION
Pittsburgh, Pennsylvania
From his key perspective as Bank of New York Mellon’s Chief Fiduciary
Risk Officer, David will describe how a large fiduciary institution
manages its fiduciary activities relating to ERISA. David chairs the
Fiduciary Risk Management Committee and will explain how this committee
oversees:
the acceptance, documentation and administration of fiduciary
business,
the adherence to investment guidelines,
the avoidance of conflicts of interests and prohibited
transactions