Accomplished senior regulatory compliance and risk manager with experience in development and oversight of the compliance risk management programs; advising and providing strategic direction on regulatory matters; regulatory relations and exam management; and demonstrated leadership in a rapidly growing financial institution. Bank Secrecy Act/Anti-Money Laundering, Community Reinvestment Act/Fair Lending, and consumer protection compliance expertise. Strengths include analytical and complex problem solving aptitude, ability to adapt quickly in a rapidly changing environment, and strong written, verbal and interpersonal skills. American Bankers Association Regulatory Compliance Manager Certification. Graduated from DePaul University.