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yyyyyy x. yyyyyy 2480 irvine boulevard, #0000 xxxxxx xxxx , xxxx , xxxxx 00000
(xxx-xxx-xxxx • abc@xyz.com
certified regulatory compliance manager eager to contribute proven banking / finance, strategic analysis,
and business development talents toward optimizing a progressive organization s bottom-line results.
profile
ø offer solid regulatory compliance experience, including expertise in lending, deposits, fair lending, hmda, bsa / aml, privacy, and safety and soundness regulations.
ø solutions-focused professional dedicated to providing strategies to regulatory compliance issues supportive of a risk-based, competitive approach toward protecting a company against multifaceted risks.
ø multiple award-winning finance expert; able to establish cohesive relationships with personnel and business divisions to foster cooperative teamwork that reflects positively on operational well-being.
~ education and professional training ~
bachelor of business administration (emphasis in finance) california state university
associate of arts in general studies irvine valley college
certificate of completion national compliance school american bankers association
professional experience
washington mutual bank (acquired by jp morgan chase september 2008), irvine, ca
assistant vice president compliance officer i 2004 c present
ø apply superior analytical talents toward overseeing over 750 multi-office associates in the evaluation of new / revised federal and state regulations to ensure compliance with various real estate lending lines.
ø identify and resolve compliance-related pre-implementation issues concerning strategic new initiatives.
ø drive business productivity by developing and delivering comprehensive compliance training for management and lower-level associates to implement and maintain high-quality standards.
ø proficiently perform root / cause analysis to mitigate repetitive compliance issues, along with analyzing internal / external exam findings to provide executive-level management and / or auditors with recommended actions.
ø provide solid compliance guidance in mortgage origination / fulfillment system conversion, including serving as a subject matter expert for new / revised policy and procedure review; resolved tila disclosure issues that enabled the company to originate key products and collect related fees.
ø maximize business success by developing a lending website-monitoring program; spearheaded the integration of special lending operations, products, and procedures from a top-ranking subsidiary.
senior compliance analyst 2003 c 2004
ø strategically steered product development initiatives by monitoring and assessing stated and federal regulatory adherence, along with determining disclosure and / or fair lending impacts, review bond, mortgage credit certificate (mcc), and mortgage assistance programs (map) to identify compliance concerns.
ø actively participated in the release of multiple new and revised products with zero compliance impacts, as well as assist with the development of optimal compliance policies and procedures.
western financial bank (acquired by wachovia march 2005), irvine, ca
assistant cash manager 2002 c 2003
ø contributed superior managerial proficiencies toward effectively supervising wide-ranging wire desk operations to include overseeing a highly skilled staff and up to $1 billion in transactions.
ø streamlined wire desk and cash management policies and procedures by implementing successful organizational guidelines and an innovative system conversion to ensure seamless operational processes.
ø expertly performed intercompany cash analysis and related reports for senior management review.
financial analyst 2000 c 2002
ø directed business efforts by performing asset / liability interest sensitivity analysis, mortgage backed securities portfolio analysis, and assorted cash management functions, including producing increased interest income.
ø optimally analyzed, developed, and implemented profit-driven borrowing and investment strategies.
compliance officer 1995 c 2000
ø accurately analyzed and interpreted critical banking laws and regulations for senior management and business divisions, including performing regulatory compliance audits for all organizational units, assisting with policy and procedure establishment, and supporting efforts to lower operational camel rating.
ø effectively facilitated regulatory exams and prepared and submitted related filings and applications.
ø developed a superior corporate compliance program which was commended by federal regulators.
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