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.
CEFLI Board of Directors
Steve Koslow, Chair
Senior Vice President, Chief Ethics and Compliance Officer
CUNA Mutual
John G. Apostle II
Senior Vice President, Chief Compliance Officer
Genworth Financial
Stephen C. Baker
Partner
Drinker Biddle
Steve Callaway
Senior Associate Counsel & Chief Compliance Officer
Protective Life Corporation
Maureen M. Closson
Senior Vice President, Chief Compliance Officer
AVIVA USA
William J. Dauksewicz
Vice President, Compliance
Liberty Life Assurance Company of Boston
James D. Gallagher
Executive Vice President, General Counsel & Chief Administrative Officer
Manulife Financial/John Hancock
Michael R. Moser
Vice President, Chief Compliance Officer
Western & Southern Financial Group
Carol S. Stern
Vice President, Chief Compliance Officer
ING US
Thomas Sullivan
Partner
PricewaterhouseCoopers




