John Buckley graduated from Wittenberg University in Springfield, OH, in 1982. In 1983, he joined Moore Excess, a surplus lines wholesaler and eventually acquired the firm in 1991. Moore Excess was purchased by NIF Group in 1995 and John was named Senior Vice President and part-owner in NIF Services of New York. In June of 2006, he was named President of NIF Services of New York which was rebranded in October 2021 to JenCap Specialty.
John was appointed to the Board of Directors of Professional Insurance Wholesalers Association (PIWA) in 1989 and served as President from 1991 to 1993. He has served on the Board of the Excess Line Association of New York (ELANY) since 1994 and currently is Treasurer, Chair of the Audit and Finance Committee, a member of the Information Resources and Security and a member of the Nominations Committees.
John has been a member of NAPSLO/WSIA since 1985.
Among his many achievements, John was honored as Suffolk County Insurance Person of the Year.
Jim Richardson received a BBA in Public Administration from Baruch College, CUNY, in 1980 and, subsequently, began his career as a commercial line’s underwriter with the Travelers. Jim worked as Vice President of Casualty Facultative at J.L. Kelley from 1988 to 1991 and in June of 1992, he began his long career in Surplus Lines with General Star Management Company. At General Star, Jim held several titles including Casualty Underwriter, Casualty Branch Manager in New York, Eastern Regional Manager for Primary and Excess Casualty, Western Regional Manager for Primary and Excess Casualty and currently holds the title of Vice President of the Programs Division. Jim received his ASLI designation in 1995.
Throughout his career, Jim has served on committees for both WSIA and PIWA and, in 2014, was appointed to the Board of Directors of ELANY. He currently chairs both the Nominations Committee and the Operations & Procedures Committee as well as serving on the Industry Liaison, Legislation & Regulation Committee.
Denise brings thirty years of legal, risk, and compliance experience across the financial services sector, with a twenty-year concentration in the Insurance industry.
In her current role, Denise serves as Deputy General Counsel and Chief Compliance Officer at Baldwin Risk Partners (“BRP”), where she provides contractual, regulatory, and compliance guidance in connection with business strategic initiatives. As Chief Compliance Officer, Denise is responsible for designing and implementing a compliance framework to prevent, detect, and respond to potential violations of law, policies, and procedures.
Prior to her role with BRP, Denise most recently served as Vice President, Chief Compliance Officer of Marsh McLennan (“MMC”), where she led the compliance strategy, advising senior management concerning risk and compliance issues; as well as developing, leading, and managing subject matter experts in a team of more than 250 compliance professionals. Before being promoted Denise held a senior role at Marsh USA Inc. as Managing Director, Chief Compliance Officer and Regulatory Counsel, US Region.
Denise served as Compliance Director, Laws and Regulation at Willis Towers Watson for more than ten years, working on matters impacting the business around licensing, monitoring, M&A due diligence, and surplus lines regulation. She collaborated with senior business leaders to develop, implement, and enforce policies and procedures; ensure compliance with applicable laws and regulations; and enhance business efficiency and client service.
Prior to focusing on the Insurance Industry, Denise worked as a corporate attorney at Sidley Austin Brown & Wood (now Sidley Austin LLP) and Jordan Burt (now Carton Fields).
Denise earned a Bachelor of Arts from New York University, a Juris Doctor from Fordham Law School, and an Advanced Certificate in Compliance from ICA International. She is admitted to practice law in New York and Florida. Denise also serves on corporate and educational advisory boards and is also an Adjunct Professor at Fordham University School of Law.
Denise currently lives in New Jersey with her husband and their two children. She contributes her time to international pro bono and charitable work using her legal skills and fluency in Spanish to volunteer in mentoring programs focused on empowering first-generation students from low-income communities. She has worked with several non-profit organizations including Imentor, Safe Passage and Lawyers for Children.
With over 30+ years of experience, Lance Becker holds a B.S. in Finance from Towson University. Lance worked as AVP-Broker/Account Manager for Aon from 1991 to 1996. A distinguished career with Willis followed. From 1996 to 2005, Lance served as Executive Vice President at WTW, overseeing the Large Risk Management Accounts Team. In 2005, Lance joined Arthur J. Gallagher & Company, and has held various positions from Executive Vice President to NY Office Branch President, where he currently serves as Vice Chairman and co-director of the company’s Global Risk Management practice. In that capacity, Lance heads up an advisory group devoted exclusively to the risk management needs of large companies in New York City.
Lance has served on several industry boards including the Council on Litigation Management (CLM), Chubb, AIG and Zurich advisory boards. Lance has served on the board of the Excess Line Association of New York (ELANY) for the last 14 years, and currently serves as Secretary of the Board of Directors. Lance also serves on the Operations & Procedures Committee, the Information Resources and Security Committee and the Nominations Committee. Lance also served as Chairman of ELANY's board from 2018 to 2020.
Joseph Caligiuri is a graduate of St. John’s University, The Peter J. Tobin College of Business, where he received his B.S. in P&C Insurance and Business Administration. In 2002, Joe opened the firm Cal E&S Brokers, Inc., which was later sold to RPS. In 2009, he struck out on his own operating as President of NCC (National Coverage Corp.).
In January 2022, Joe sold his interest in NCC and maintained a limited position as a Senior Property Consultant. He now serves as Senior Vice President with the National Property Practice Group at JenCap Insurance Services. Joe is a Past President of PIWA. He was elected to the Board of ELANY in 2007 and has served as Treasurer, Vice Chairman.
He was appointed Chairman in 2012 and currently serves as Chairman of the Industry Liaison, Legislation & Regulation Committee and is a member of the Nominations Committee.
Jo Ann Peri is a graduate from Fordham University where she received a B.A. in Computer Science.
In 1994 Jo Ann opened an office in NY for an insurance wholesaler. In 1995 Jo Ann purchased Cowles & Connell, Inc.
In 2014, Jo Ann sold Cowles & Connell to Risk Placement Services where she continues to manage and run the northeast profit center.
Jo Ann is a past president of PIWA and served on the board from 2005-2015.
As Area President and through her leadership, the northeast division continues to grow and has become one of Risk Placement Services largest profit centers, winning several branch awards.
Don Privett has over 40 years experience in the insurance industry. He began his insurance career in London, England, structuring and placing large and unique accounts during one of the strongest markets in Lloyd’s of London history. He was fortunate to have worked with some of the most pioneering and progressive minds in the industry during his time in London. In 1997, Don launched his own specialty wholesale company in New York, Privett Special Risk Services LLC, which he ran for 15 years before the Company was sold in 2012. Under Don’s leadership, the Company built a stellar reputation as one of the major independent specialty wholesale brokers in the United States. In 2012, he assumed the position of Executive Vice President of Worldwide Facilities, Inc., and in 2018, was hired as Managing Director of Brown & Riding Insurance Services.
Among his many achievements, Don played a crucial role in developing credit enhancement policies for many of the largest accounts in the country, helped create a terrorism market after September 11th, and has worked on some of the largest utility, energy, and property accounts in the country. He is extremely well known throughout the world markets for his extensive knowledge of policy forms and the claims process for large property and mining accounts.
Don has been a member of the Board of Directors of the Excess Line Association of New York (ELANY) since 1999. He was appointed Treasurer in 2002, Vice Chairman in 2004 and Chairman in 2005. He currently serves on the Operations & Procedures Committee and the Audit and Finance Committee. He is a Past President of the Insurance Brokers Association of New York (IBANY), a NAPSLO (now WSIA) member, and one of the founding members of the Insurance Industry Charitable Foundation of New York (current board member).
Harry Tucker leads Amwins Property Practice, overseeing over 500 brokers and specialists, representing more than $12.5 billion in annual written premium. He is responsible for identifying risks, developing products, and forming strategic market partnerships. Harry plays a key role in delivering services such as catastrophe modeling, claims consulting, and talent development.
With 40 years of experience in Excess & Surplus lines property, Harry's broker knowledge has contributed to sales, marketing, and strategic partnerships. He is a member of Amwins' Security Committee and Broker Development Committee.
Outside of Amwins, Harry has served on the PIWA board and participated in industry panels. He is active in community affairs and has held positions such as the Treasurer of The Philipse Manor Improvement Association and Philipse Manor Beach Club.
Prior to Amwins, Harry held senior property positions at RT Specialty, Risk Placement Services, Stewart Smith East, and Swett & Crawford. He graduated from the University of Florida and enjoys skiing, kayaking, golfing, fishing, and hiking.
