Sr. Compliance Analyst & Assistant Corporate Secretary
CurrentIn my compliance role, I’m responsible for researching and analyzing federal and state laws, regulations, and guidance to determine applicability and impact to the Bank and the Bank’s member financial institutions. I assist business units with action plans needed to comply with new rules such as policy and procedure changes and implementing new processes. As a Compliance team member, I work with Federal Housing Finance Agency (FHFA) examiners and Bank management with Safety and Soundness examinations, reporting requirements and other requests. In my corporate governance role, I’m responsible for attending and preparing minutes for all Board and Board Committee meetings.