Robin’s career includes pivotal positions held at various prominent financial institutions where she focused on steadily advancing her expertise and knowledge in private wealth management. Robin possesses a diverse background in trust and estate administration, and she has consistently demonstrated a commitment to ensuring the highest standards of client satisfaction, fiduciary management, and regulatory compliance.
Her primary role at Central Trust Company is to create, implement and monitor the policies and procedures required by both internal and external auditors and regulators.
Education & Certifications
- Certified Trust and Fiduciary Advisor (CTFA)
- Society of Trust and Estate Practitioners (TEP)
- Accredited Estate Planner (AEP®)
- Accredited Trust and Fiduciary Advisor (ATFA)
- Certified Fiduciary Investment Risk Specialist (CFIRS®)
Interests & Activities
Beyond her professional endeavors, Robin enjoys genealogy, summer shows at The Muny, and she is actively engaged in the Estate Planning Council of St. Louis.