Compliance Manager
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Detail-oriented professional with extensive experience in compliance, audit, quality control, quality assurance and risk management. Well-versed in developing data-driven risk mitigation strategies, optimizing regulatory compliance frameworks, and enhancing audit methodologies to strengthen institutional integrity. Adept at leading cross-functional teams, transforming audit data into actionable insights, and identifying systemic risks to drive continuous process improvements.
Recognized for a strong analytical mindset, strategic problem-solving, and ability to deliver compliance-driven solutions that support operational excellence and regulatory adherence. Adaptable and self-motivated, with a track record of increasing efficiency, minimizing risk and ensuring compliance in dynamic financial environments.
Compliance Manager - Fair Lending @ Bay Equity
Identify disparities in residential mortgage lending through quarterly Fair Lending comparative file reviews, ensuring compliance with regulatory standards. Present comprehensive Fair Lending analysis findings to Senior Vice President of Compliance and Compliance Committee, facilitating informed decision-making.
Redlining reports to strengthen risk mitigation, refine market insights, and benchmark performance against industry peers. Assist in annual regression analysis to uphold regulatory standards and identify variables/trends conflicting with anti-predatory lending.
● Expanded market reach by analyzing and presenting Redlining reporting insights to the Marketing Compliance Committee.
● Engineered and formalized Redlining and Fair Lending workflows to optimize efficiency and compliance.
BA in Economics from The University of Texas at Austin