Robert "Bob" Mullenbach, Crcm work email
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Robert "Bob" Mullenbach, Crcm personal email
Robert "Bob" Mullenbach, Crcm phone numbers
With over 25 years of experience in the financial services and banking industry, I am a Certified Regulatory Compliance Manager (CRCM) and a risk and regulatory expert. I have worked in various compliance roles for financial institutions across the country, including Hatch Bank, where I served as the Senior Vice President and Compliance Officer until December 2023.My core competencies include identifying, managing, and mitigating operational and compliance risks, implementing and facilitating compliance training programs, consulting and coaching clients and employees on regulatory policies and procedures, and leading corrective action plans. I have a proven track record of partnering with management and stakeholders to influence a culture of compliance and ethics in an ever-changing environment. I have exceptional communication, collaboration, and leadership skills, as well as strong analytical, problem-solving, and customer orientation abilities. I am passionate about learning and development, strategic planning, metrics and evaluation, and project team leadership. I have extensive knowledge and experience in various compliance areas, such as ADA, AML, Bankruptcy Code, Consumer Privacy, ECOA, FCRA, FDCPA, FHA, FRPA, HMDA, and RESPA.
Rjm Compliance Advisors, Llc
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Rjm Compliance Advisors, LlcLouisville Metropolitan Area
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Senior Vice President, Compliance OfficerHatch Bank Mar 2022 - Dec 2023San Marcos, Ca, Us -
Compliance DirectorHatch Bank Mar 2021 - Dec 2023San Marcos, Ca, Us -
Deputy DirectorOnline Lending Policy Institute (Olpi) Jan 2018 - Mar 2021
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Managing Director - Compliance Division DeputyProbank Austin Mar 2017 - Oct 2020Us, UsResponsible for leading a team of professionals conducting consumer and commercial lending reviews for bank partners and FinTech's. This included reviewing policies and procedures, lending, BSA/AML, Compliance Management System (CMS), Compliance Management Program (CMP), risk assessments and corrective action. Reports were provided with any regulatory concerns and best practices to the appropriate management team. -
Vice President, Senior Consultant And Mpl Relationship Manager - Compliance Consulting DivisionProbank Austin Jun 2014 - Oct 2020Us, UsI have over 25 years of experience in the banking industry, having worked in the regulatory compliance field for financial institutions across the country. Prior to joining the PBS team in 2014, I served as a Compliance/Community Reinvestment Act (CRA) Officer and Risk Assessment Manager for a large community bank.I served as the Marketplace Lender (MPL) Relationship Manager and have extensive experience conducting consumer compliance reviews for lending, deposit, privacy and non-deposit investment product regulatory assurance, conducting compliance program risk assessments, and conducting fair lending/nondiscrimination analyses. I also assisted clients with pre-regulatory examination preparation and examination management. -
Crcm|Vp|Compliance, Community Reinvestment Act (Cra) Officer|Risk Assessment ManagerEclipse Bank Feb 2013 - Jun 2014Responsible for overseeing the Bank's Compliance Mangement System, CRA reporting and Risk Assessment as it applies to the Bank's activities. This involves creating policies and procedures to ensure that the Bank is compliant with applicable Federal and State Laws. Responsible for reviewing transactions for compliance, educating staff, providing assistance to staff in answering compliance related questions or concerns and reporting to the Board of Directors. The Compliance Officer is responsible for ensuring that an adequate external audit is conducted annually.Responsible for developing, implementing, administering and recording all aspects of the Bank's Community Reinvestment Act Compliance Program. This position establishes, participates and maintains relationships with community based, chartitable, and non-profit organizations.As Risk Manager, review and identify the bank's risk while assessing the probability of, and the potential severity of each risk. Develop, implement, monitor policies and procedures that will eliminate the probability on noncompliance.
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Vice President - Compliance Trainer - Business TrainerOnemain Financial (Formerly Citifinancial) Apr 2003 - Oct 2012New York, New York, UsEnhance the culture of compliance in the network by providing training and support on common compliance issues, regulations and tools impacting the business•Led team effort in development, maintenance, and quarterly enhancement of Compliance Training Program through consultation with business partners and clients, which enhanced culture of compliance.•Conducted 75+ Branch Inspections - Risk Reviews annually within branch network across the United States, resulting in reduction of audit fail rates by over 50%.•Provided Summary Report on identified Regulatory, Compliance, and Company Policy concerns and conducted training to minimize risk through implementation of corrective action plans and coaching.•Reduced operational risk to business by analyzing audit / compliance trends and providing management with metrics, evaluation, and recommendations.•Managed team of 38 in development of new sales training pilot program that rolled out in United States. Reduced expenses 50% and anticipate profit impact of $3.1M by increasing field and management participation and follow-up. •Initiated and led team effort in strategic planning, development, and implementation of inaugural Home Office Learning and Development Week, which resulted in 300+ hours of professional development.•Headed evaluation team of 7 that constructed surveys, collected, and analyzed data, and produced Executive Summary of results and recommendations for strategic planning of future Home Office Learning and Development initiatives. Overall satisfaction was 96%. •Managed American Financial Services Association (AFSA) Leadership Development Program. Consulted with Senior Management, College, and Alumni, developing strategic plan that streamlined registration process. -
Branch ManagerCitifinancial Apr 1998 - Mar 2003Responsible for the branch operations including training of branch staff, insurance sales, collections, business development and compliance.
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District ManagerCitifinancial Sep 1995 - Mar 1998Responsible for supervising 50+ team members *8-10 branches) in the areas of branch profitability, collections, training of personnel, business production and compliance.
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Branch ManagerCommercial Credit/Citifinancial Oct 1993 - Aug 1995Responsible for the branch operations including training of branch staff, insurance sales, collections, business development and compliance.
Robert "Bob" Mullenbach, Crcm Skills
Robert "Bob" Mullenbach, Crcm Education Details
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University Of Minnesota DuluthGeneral And Minor In Accounting
Frequently Asked Questions about Robert "Bob" Mullenbach, Crcm
What company does Robert "Bob" Mullenbach, Crcm work for?
Robert "Bob" Mullenbach, Crcm works for Rjm Compliance Advisors, Llc
What is Robert "Bob" Mullenbach, Crcm's role at the current company?
Robert "Bob" Mullenbach, Crcm's current role is CRCM | Chief Compliance Officer | Financial Risk Management | Managing Director | SVP | Regulatory Consulting & Training.
What is Robert "Bob" Mullenbach, Crcm's email address?
Robert "Bob" Mullenbach, Crcm's email address is rm****@****ank.com
What is Robert "Bob" Mullenbach, Crcm's direct phone number?
Robert "Bob" Mullenbach, Crcm's direct phone number is +150245*****
What schools did Robert "Bob" Mullenbach, Crcm attend?
Robert "Bob" Mullenbach, Crcm attended University Of Minnesota Duluth.
What are some of Robert "Bob" Mullenbach, Crcm's interests?
Robert "Bob" Mullenbach, Crcm has interest in Boating, Children, Volunteering, Coaching, Yard Work, Negoatiating, Consulting, Compliance Training, Education, Mentoring.
What skills is Robert "Bob" Mullenbach, Crcm known for?
Robert "Bob" Mullenbach, Crcm has skills like Operational Risk Management, Credit Risk, Consumer Lending, Training Delivery, Project Management, Business Coaching, Training Facilitation, Workshop Facilitation, Compliance Training, Loss Mitigation, Mortgage Lending, Underwriting.
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