Greater St. Louis
I am a commissioned Financial Institution Examiner with the Federal Deposit Insurance Corporation (FDIC) and have been employed with the FDIC since 2008. I was employed as a social worker early in my career and gained valuable skills in communicating, problem solving, and influenced the achieved desired outcomes. I gained experience in banking as a loan officer for Wells Fargo Bank prior to obtaining a Masters in Business Administration. I was subsequently employed as an Assistant Bank Examiner with the Missouri Division of Finance and worked in Risk Management before accepting a position with the FDIC where I was commissioned as a compliance examiner. I have advance technical knowledge of consumer protection laws and regulations and I am skilled in conducting compliance examinations, Community Reinvestment Act (CRA) evaluations, and fair lending reviews at financial institutions of varying size and complexity. I also have comprehensive knowledge of bank operations and techniques for managing risks at financial institutions. I am frequently relied upon to train less-experienced examiners and have delivered structured training in a variety of venues. I demonstrate solid oral and written communication skills, excel at teamwork and collaboration, and adapt well to changing priorities and situations.
Conduct compliance examination of financial institutions of various asset sizes to ensure compliance with consumer protection and fair lending federal laws and regulations.