Christine Mcmanus Email and Phone Number
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Christine Mcmanus is a Compliance Director - Regulatory Management at Fidelity Investments. She possess expertise in banking, risk management, corporate governance, mergers, financial services and 14 more skills.
Fidelity Investments
View- Website:
- fidelity.com
- Employees:
- 83148
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Compliance Director - Regulatory ManagementFidelity InvestmentsWinthrop, Ma, Us -
Associate General CounselSantander Bank, N.A. Mar 2023 - Present -
Senior Legal CounselSantander Bank, N.A. Sep 2021 - Mar 2023 -
Senior Associate, Corporate Governance And Policy AdministrationSantander Bank, N.A. Nov 2018 - Sep 2021Boston, Massachusetts, United States• Drive the corporate governance and policy administration function across Santander’s US affiliates, including building and enhancing the function and driving, supporting, and implementing corporate governance initiatives• Oversee the development, communication, and monitoring of key governance documents across Santander’s US affiliates• Respond to requests for records in connection with supervisory activities and audits• Conduct legal research and complete special projects as assigned
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Regulatory Risk Reporting Director; Senior Vice PresidentSantander Bank, N.A. Mar 2015 - Nov 2018Boston, Massachusetts• Supported and drove the Regulatory Relations function, including regulatory risk management, across Santander’s US affiliates • Built and maintained positive and productive relationships with Santander’s US regulators and management• Provided advice and counsel to Santander’s US affiliates on regulatory matters, including regulatory responses and strategies• Coordinated and managed regulatory examinations, inquiries, reviews and other ongoing supervisory activities of, and ad hoc requests from, Santander's US regulators• Reviewed, organized and coordinated document productions including assessing responsiveness and ensuring information was presented in an accurate, complete and timely manner • Served as a primary liaison with Santander’s US regulators and maintained open and effective lines of communication between them and Santander’s US affiliates• Participated in meetings with Santander’s US regulators and management• Kept abreast of legal and regulatory matters affecting the US financial services industry, the regulatory environment, and their potential impact on and application to Santander’s US affiliates• Developed reports and presentations for Santander’s US management and committees -
Senior Compliance Advisor - Fidelity Institutional ComplianceFidelity Nov 2013 - Mar 2015Boston, MassachusettsDrafted and responded to complex regulatory inquiries from federal and state securities regulators and self-regulatory organizations; evaluated complex regulatory inquiries for potential risk exposure and escalate to senior management as appropriate; and assisted in regulatory examinations and interact with regulators
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Senior Risk Manager - Business Services OperationsRbs Citizens, N.A. Nov 2011 - Jun 2013MassachusettsProvided consumer regulatory expertise and solutions on complex risk and compliance issues within Business Services Operations; identified, assessed, implemented and communicated regulatory issuances within Business Services Operations; reviewed policies and procedures and developed, implemented and effectively administered processes and programs for compliance with federal consumer regulations; developed, enhanced and maintained a proactive and robust risk management program and other initiatives for consumer regulatory compliance; managed all aspects of consumer regulatory risk within Business Services Operations, consistent with corporate direction and policies; and provided support for regulatory examinations and audits -
Senior Counsel And Senior Vice PresidentRbs Citizens, N.A. Sep 2006 - May 2010MasschusettsAdvised senior management and directed legal input on the structure, implementation and all other aspects of strategic corporate transactions in the United States and all other projects classified as strategically significant from a business or regulatory standpoint or as otherwise directed by the Chief Legal Officer or General Counsel, and all related regulatory issues; identified and advised legal and risk management colleagues of regulatory issues implicated by strategic transactions and projects, including the impact on consumer deposit and credit agreements, products, services and programs and required consumer regulatory disclosures and regulatory filings; drafted, reviewed and negotiated transaction documents; and selected, managed, supervised and coordinated activities of external counsel
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Partner/Associate, Financial Services GroupGoodwin Procter Llp Aug 1998 - Dec 2005Advised clients on compliance with state and federal laws and regulations governing financial institutions and their activities, including truth in savings, funds availability, electronic funds transfers, equal credit opportunity, fair credit reporting, truth in lending and interest rate exportation; assisted clients in a broad range of transactions, including mergers, acquisitions, purchase and assumption transactions, formation and dissolution of subsidiaries, and the offering of Internet and other electronic funds transfer services; advised clients on corporate governance and other general corporate matters; drafted consumer regulatory disclosures and deposit account, credit card, home equity line of credit and other retail agreements; and prepared and filed federal and state regulatory applications and corresponded with applicable regulatory agencies -
Associate Counsel, Consumer Banking, Investment & Technology GroupBankboston Corporation Aug 1997 - Aug 1998Served as primary legal contact for over 400 retail branch offices in 4 states, resolved various branch issues upon request, and responded to customer complaints and demand letters; monitored and advised retail and personal banking business units of developments in consumer compliance laws and regulations; reviewed deposit documentation and procedures, advertising and marketing materials (and coordinated review by external counsel in various states) for compliance with applicable laws and regulations; performed extensive legal research for senior counsel and various business units; and assisted in merger of affiliated and acquired banks and related systems conversions
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Control & Compliance AnalystBankboston Corporation Jan 1995 - Aug 1997Analyzed, communicated and advised numerous business units within Retail Banking of the impact and the associated risks of changes in relevant laws and regulations and revised existing practices as necessary; developed standard Power of Attorney documents and procedures for use in over 400 branches in 4 states that balanced risks with business objectives and provided training on Powers of Attorney for over 150 operational specialists, branch managers and other branch personnel; served as primary contact for over 400 retail branch offices in 4 states for Power of Attorney-related inquiries, and resolved other branch issues upon request; prepared and filed applications with various federal and state regulatory agencies to establish branches and ATMs in the New England states and Florida, and coordinated compliance with applicable branch closing requirements; and performed extensive legal research for development of policy and procedure manuals for use throughout Retail Banking
Christine Mcmanus Skills
Christine Mcmanus Education Details
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Psychology
Frequently Asked Questions about Christine Mcmanus
What company does Christine Mcmanus work for?
Christine Mcmanus works for Fidelity Investments
What is Christine Mcmanus's role at the current company?
Christine Mcmanus's current role is Compliance Director - Regulatory Management.
What is Christine Mcmanus's email address?
Christine Mcmanus's email address is cm****@****ast.net
What is Christine Mcmanus's direct phone number?
Christine Mcmanus's direct phone number is +161785*****
What schools did Christine Mcmanus attend?
Christine Mcmanus attended Suffolk University Law School, Colby College.
What skills is Christine Mcmanus known for?
Christine Mcmanus has skills like Banking, Risk Management, Corporate Governance, Mergers, Financial Services, Retail Banking, Financial Risk, Strategy, Corporate Law, Investments, Portfolio Management, Loans.
Who are Christine Mcmanus's colleagues?
Christine Mcmanus's colleagues are Emilio Arce, Saravanan Pichandi, Shauna Livings, Landry Truett, Madison Severy, Mckay Robbins, Crosby Bain.
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Christine McManus
Austin, Tx1hotmail.com -
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Christine McManus
Client Leader, Team Builder And Omni-Channel Marketer Driving Award-Winning Creative Strategy That Moves The Needle.United States2ferraracompany.com, purered.net2 +160994XXXXX
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