Board of Directors

A unique characteristic of CEFLI is its governance.  CEFLI's Board of Directors is comprised of chief compliance and ethics officers of our member companies and representatives of our affiliate membership organizations.  This allows CEFLI's strategic direction and policy decisions to be made by the end-users of CEFLI's products and services; namely, the life insurance industry's compliance and ethics professionals.

All the risks can be easily avoided if you use products and services of only reputable and highly acclaimed service providers who have a solid reputation of the market and provide only authentic medications to everyone in need of quick healthcare solutions.

CEFLI Board of Directors

James Odland, Chairman
Vice President, Managing Counsel and Chief Compliance Officer
Thrivent Financial

Nancy Sweet, Chair-Elect
Vice President, CCO and Deputy General Counsel
CNO Financial Group

John G. Apostle II
Chief Compliance Officer
Genworth Financial

Timothy H. Bolden
Vice President, Chief Compliance Officer
American Fidelity Assurance Company

Steve M. Callaway
Senior Associate Counsel & Chief Compliance Officer
Protective Life Corporation

Jim Golembiewski
General Counsel, Vice President Compliance & Corporate Secretary
Sagicor Life Insurance Company

George Hanley

Mitch Karman
Vice President, Counsel & U.S. Chief Compliance Officer
John Hancock Financial Services

Steve Koslow
Vice President, Chief Ethics & Compliance Officer
Allianz Life

Marla Lacey
Executive Vice President and General Counsel
Homesteaders Life Company

Bradley J. Lucido
SVP & Chief Compliance Officer

Timothy J. O'Driscoll
Faegre Drinker

Sharon Pacheco
Vice President and Chief Compliance & Ethics Officer
Pacific Life Insurance Company

Suzanne Sainato
Chief Compliance Officer
Symetra Life Insurance Company

Wayne Smiley
Chief Compliance Officer
TIAA Life Insurance Company