403(b) Curriculum - Ask the Expert
Michael A. Webb, AIF®, CEBS
Vice President, Retirement Plan Services
Cammack LaRhette Consulting
Email Q&A To: clcinfo@clcinc.com
Mike joined Cammack LaRhette Consulting in 1991 and has provided retirement plan consulting services spanning several industries for over 15 years, including hospitals and health care systems, cultural institutions, foundations and manufacturing concerns.
Mike’s background is in the area of operational compliance. He was primarily responsible for establishing retirement plan operating systems that comply with the latest federal regulations, through onsite support of human resources, information systems, and payroll departments of large employers.
Mike was awarded the Accredited Investment Fiduciary® designation from the Center for Fiduciary Studies, a nationally recognized training organization for fiduciaries, in 2005. In addition, he is currently the co-moderator of Plan Sponsor’s “Ask the Expert” column for 403(b) plans. Mike is also currently the chair of the National Tax Sheltered Accounts Association’s (NTSAA) Educational Committee, and was honored for his contributions to the organization in 2004. He is also a frequent contributor to NTSAA/ASPPA joint designation program for 403(b) professionals, and has been a featured speaker at several NTSAA National Conferences and Webinars, including most recently a presentation in April 2008 on the 5500 requirements for 403(b) plans. Mike’s writing credits include an article in the May/June 2006 Journal of Retirement Planning (“Healthcare Savings Plan Service Provider Consolidation: A Case Study”) and an article in the September/October 2009 issue of The Profit Sharing/401(k) Council of America’s Defined Contribution Insights (“The time is Now to Gear Up for the New 5500 Requirements”). Mike has also served as an instructor for the CEBS program of the International Foundation of Employee Benefit Plans.
Mike received a BS degree from Northwestern University, and a Master’s degree in Media Administration from Syracuse University. He is a Registered Representative with the Financial Industry Regulatory Authority (FINRA).

