Chief Compliance Officer - Crcm, Senior Vice President
CurrentResponsible for developing, implementing and administering all aspects of the Bank Five Nine’s Complaince and Risk Management Program. I plan, organize, and control the bank’s day to day administrative, lending and operational compliance activities; collaborates with the President & CEO in the overall administration of these directives for the Bank. I participate in various committees, audits and examinations. Supervise the functions of the Quality Assurance Department including: CRA/Fair Lending, HMDA, Bank Secrecy Act, Compliance, Internal Audit, Government Reporting and Security to ensure compliance efforts are maintained on a daily basis. I also advise the Board of Directors, Senior Management and Bank personnel of emerging compliance issues and consults and guides the Bank in the establishment of controls to mitigate risks.