Senior Compliance Officer
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Driving regulatory compliance and institutional integrity through strategic leadership. Advance regulatory examination and consumer protection capabilities by integrating compliance management systems, risk assessments, monitoring programs, and financial institution reviews across regulated banking environments. Strengthen institutional frameworks, evaluate operational controls, identify emerging risks, and guide examination teams through review methodologies, stakeholder communication, and regulatory reporting.
Improve oversight effectiveness, reinforce adherence to evolving financial regulations, and enhance organizational accountability to support consumer outcomes and operational integrity.
Compliance Officer at Wintrust Financial Corp (2025-07 – 2026-09)
Lead mortgage compliance oversight activities, encompassing marketing review, consumer financial protection requirements, and regulatory evaluation across federal and state frameworks. Manage third-party risk oversight by assessing external service provider practices, evaluating governance processes, and reviewing operational controls supporting regulatory expectations. Partner with stakeholders to communicate findings, provide written analysis, and reinforce informed decision-making throughout institutional operations.
Examiner at Consumer Financial Protection Bureau (2017-05 – 2025-07)
Executed comprehensive supervisory reviews of financial institutions, analyzing operational frameworks, consumer product practices, and internal compliance structures within regulated banking environments. Evaluated institutional risk posture through regulatory assessments, control reviews, and examination methodologies addressing federal consumer protection requirements and applicable banking standards. Delivered examination insights and recommendations to executive stakeholders, promoting regulatory transparency, corrective action, and sustained institutional accountability.
Paralegal at Robert J.
Offices (2009-04 – 2017-05)
Coordinated bankruptcy case administration functions by overseeing client intake processes, analyzing financial information, and organizing documentation supporting individual and business relief proceedings. Prepared and managed case-related materials, including financial schedules, asset and liability records, income and expense documentation, and required filings to facilitate accurate legal execution. Guided client interactions by explaining procedural obligations, clarifying compliance requirements, and maintaining effective communication throughout bankruptcy proceedings.
Legal & Administrative Assistant, Paralegal, Office Manager at Law Offices of Robert B. Kory
Master of Business Administration in Business Ethics – Loyola University of Chicago
BA in History and Political Science – Lake Forest College