VP of Compliance
With over ten years of experience in the banking industry, He brought broad knowledge in the regulatory compliance arena to our team. As a part of the rebuilding process of a large community bank that had compliance issues referred to the DOJ, he has dealt with intense regulatory scrutinty first hand and leverages that experience to assist clients and co-workers. His areas of specialty include TRID, general lending compliance, HMDA and Fair Lending. In college he studied Financial Managment and obtained his CRCM certification in 2013.