Bob Hill

Bob Hill Email and Phone Number

Managing Director - Coporate Risk Regulatory Execution @ Wells Fargo
san francisco, california, united states
Bob Hill's Location
Minneapolis, Minnesota, United States, United States
About Bob Hill

Bob is a Managing Director at Wells Fargo. With over 24 years of experience in the financial services industry, Bob brings a keen focus on risk and controls across all lines of defense in support of regulatory initiatives and the strategic use of innovative solutions. Bob rejoined Wells Fargo in 2024 in the Corporate Risk function to lead execution of high priority initiatives across the firm. Prior to rejoining Wells Fargo, Bob led a global team at JP Morgan Chase & Co. that transformed regulatory engagement experiences, information, and knowledge into an asset for the firm. Bob previously was a Strategy & Execution Executive at Wells Fargo Co. where he conceptualized and directed the development of key tools for use in closure of regulatory matters. He led and directed implementation and execution of the Regulatory Readiness Review and Challenge forum process to heighten accountability, raise stakeholder awareness and enhance quality of products delivered to regulators. His efforts resulted in the reestablishing of executive and management credibility with OCC, Federal Reserve, FDIC, CFPB, and foreign regulators.Prior to joining the private sector, Bob spent 19 years at the United States Treasury Department’s Office of the Comptroller of the Currency. Serving in multiple senior roles including Examiner-in-Charge and Deputy Controller analyst within the OCC’s Large Bank and International Bank Supervision divisions. Bob authored several public Enforcement Actions, regularly met with both Group and Holding Company Boards of Directors and executive management, and successfully oversaw conversion of over $80B in assets to OCC supervision.Bob's core competencies include developing programs to anticipate and navigate regulatory and compliance expectations, effective remediation of regulatory concerns and enforcement actions, alignment of transformation projects and strategic planning, and enterprise risk identification and management.

Bob Hill's Current Company Details
Wells Fargo

Wells Fargo

View
Managing Director - Coporate Risk Regulatory Execution
san francisco, california, united states
Website:
wellsfargo.com
Employees:
246787
Bob Hill Work Experience Details
  • Wells Fargo
    Managing Director - Coporate Risk Regulatory Execution
    Wells Fargo Jun 2024 - Present
    Minneapolis, Minnesota, United States
    Managing Director - Corporate Risk Regulatory Execution Office The Corporate Risk Regulatory Execution Office is responsible for coordinating and driving consistent remediation of regulatory actions across the firm, as well as working with key subject matter experts and accountable owners to integrate remediation efforts. The Regulatory Execution Office plays an important role in responding to regulatory matters, advising on regulatory connectivity and regulatory impact analysis, understanding dependencies, resolving conflicts in the portfolio​, educating teams on regulatory remediation commitments and expectations, monitoring execution progress and closure activities, and preparing for examinations.
  • Jpmorgan Chase & Co.
    Managing Director Global Head Regulatory Intelligence - Cybersecurity Technology And Controls
    Jpmorgan Chase & Co. Jun 2022 - Jun 2024
    New York, New York, United States
    Global Head - Regulatory Intelligence - Regional Information Security & Supervisory Engagement The Regional Information Security & Supervisory Engagement team ensures the right cybersecurity and technology services and controls are in place for the 60-plus countries in which JP Morgan operates. The driving focus is to maintain security and resiliency in the face of rapidly evolving innovation and emerging technology and a dynamic threat landscape. ​Regulatory Intelligence is an active and essential function within the JP Morgan Global Technology Cyber and Technology Control function that transforms regulatory information and knowledge into an asset to proactively respond to a complex and rapidly changing regulatory environment. The Regulatory Intelligence function facilitates a deeper understanding of JPMorgan’s Regulatory Authorities’ policies, processes, priorities, and personnel necessary to develop effective strategies to meet regulatory expectations, foster sound regulatory policy, and ultimately optimize global technology resource regulatory impact. The issues and challenges handled by the team are often caught in the crosshairs of geopolitical drivers and national security policies, which requires strategic decisioning and speed. The team proactively navigates the intensifying regulatory and public policy landscape to enable the business to succeed, while also meeting bespoke regulatory requirements within JP Morgan’s risk appetite.
  • Wells Fargo
    Strategy & Planning Executive - Regulatory Intelligence
    Wells Fargo May 2022 - Jun 2022
    Minneapolis, Minnesota, United States
    As an establishing member of the Priority Issues Execution Office, I conceptualized the Regulatory Intelligence function of the office. The Priority Issues Execution Office brings vital focus, coordination, and enhanced business management routines to the company’s execution of critical regulatory issues, as well as related deliverables across all three lines of defense.
  • Wells Fargo
    Technology Regulatory Remediation Lead
    Wells Fargo Dec 2019 - Jun 2022
    Greater Minneapolis-St. Paul Area
    Lead and directed implementation and execution of Technology Closure Readiness team and establishment of the Regulatory Closure Readiness Review and Challenge forum process to heighten accountability, raise stakeholder awareness and enhance quality of products delivered to regulators.
  • Wells Fargo
    Technology Special Care Issues Management Head At Wells Fargo
    Wells Fargo Jun 2021 - May 2022
    Minneapolis, Minnesota, United States
    Utilizing my experience as a Multi-National bank regulator, I serve as the "in-house regulator" guiding response to technology regulatory concerns and matters. My mission is driving improvements as part of remediation efforts while connecting to the overall bank transformation goals.
  • Office Of The Comptroller Of The Currency
    Examiner-In-Charge: Ubs Ag
    Office Of The Comptroller Of The Currency Oct 2015 - Dec 2019
    New York, New York
    I served as the OCC's Large Branch Examiner in Charge (EIC) for all federally chartered branches of UBS AG in the United States.As a Large Branch EIC in the OCC's International Banking Supervision (IBS) unit, I managed the OCC's supervisory activities at UBS AG. I successfully planned, organized, implemented, and directed large branch supervisory activities including supervising and assigning work to dedicated resident exam staff and directed resources necessary to effectively implement the IBS program. I also served as an expert advisor to the Director for IBS and the Large Bank Deputy Comptrollers on branch strategic planning and resource allocation, as well as potential risks to the US banking system and impacts on the domestic and global banking industry.
  • Us Gov'T - Office Of The Comptroller Of The Currency
    National Bank Examiner
    Us Gov'T - Office Of The Comptroller Of The Currency Dec 2000 - Dec 2019
    New York, New York
  • Office Of The Comptroller Of The Currency
    Examiner-In-Charge: Citizens Bank N.A. (Acting)
    Office Of The Comptroller Of The Currency Sep 2018 - Feb 2019
    Providence, Rhode Island
    Large Bank Examiner-In-Charge
  • Office Of The Comptroller Of The Currency
    Enterprise & Operational Risk Management Functional Leader
    Office Of The Comptroller Of The Currency Jan 2013 - Oct 2015
    Mclean, Va
    I led a functional examination team covering operational risk at a Top 6 bank, which includes Enterprise Risk Management, Operational Risk Management, Audit and Governance, Incentive Compensation, and Digital Initiatives. Through the development and execution of a dynamic operational risk supervision strategy, I effectively directed supervision activities to maintain an accurate risk profile as the bank built and executed a risk management framework to meet OCC Large Bank Heightened Standards while preparing for and entering Basel II parallel run.
  • Office Of The Comptroller Of The Currency
    Audit And Governance Functional Leader
    Office Of The Comptroller Of The Currency Mar 2011 - Oct 2015
    Mclean, Va / Arlington, Va
    Overseeing all aspects of audit and governance supervision at a Top 6 and Top 20 bank, I improved integrated Operational Risk supervision and leveraging of the bank’s audit function through effective design and implementation of a supervisory strategy focused on integrated audit assessments across functional areas. I created a methodology and tools to capture and communicate assessment of audit within respective functional areas. Resulting exam data allowed me to aggregate then analyze audit performance across the risk spectrum. My analysis continually resulted in poignant process enhancement recommendations bank management and the boards' Audit Committees utilized to achieve and maintain the OCC's Large Bank Supevision Heightened Standards.
  • Office Of The Comptroller Of The Currency
    Basel Ii Coordinator
    Office Of The Comptroller Of The Currency Sep 2012 - Oct 2013
    Mclean, Va
    I effectively served as the OCC resident team’s central point at a Top 6 bank for organization and execution of the joint OCC-Federal Reserve Basel II supervision plan. I worked directly with examiners from the Federal Reserve's resident team and the inter-agency Basel Qualification Team to coordinate supervision efforts. I provided significant contributions to the joint agency review of the firm’s Basel II Implementation Plan particularly on AMA aspects.
  • Office Of The Comptroller Of The Currency
    Credit Card Specialist - National Bank Examiner
    Office Of The Comptroller Of The Currency Oct 2006 - Dec 2009
    Wilmington, Delaware
    Successfully created and executed the OCC supervisory strategy for a Top 3 credit card bank charter including leading target examinations of Forbearance Programs, Account Management Guidance (AMG), Customer Aquisitions, and Internal Audit. Primary ongoing supervision duties included identifying and analyzing credit and operational risk within various types of credit card portfolios including: General Purpose, Partnership, Private Label, and Canadian Card businesses.

Bob Hill Education Details

Frequently Asked Questions about Bob Hill

What company does Bob Hill work for?

Bob Hill works for Wells Fargo

What is Bob Hill's role at the current company?

Bob Hill's current role is Managing Director - Coporate Risk Regulatory Execution.

What schools did Bob Hill attend?

Bob Hill attended Pennsylvania State University, Temple University.

Who are Bob Hill's colleagues?

Bob Hill's colleagues are Erick Undefined, Marcus Mobley, Jeff Bach, George Simonetti, Tim Feeser, Fawn Mcmanus, Joseph Gonzalez.

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