Regulatory/Compliance leader with over 15 years of experience leading cross-functional initiatives across the first and second lines of defense. Proven expertise in managing ongoing supervision engagements and exam management responsibilities, with a deep understanding of capital markets, digital assets, and emerging technologies.
I have a strong track record of navigating complex regulatory interactions with key agencies like the OCC, FRB, FDIC, SEC, and FINRA, across various markets and emerging technology initiatives. As a trusted advisor, I translate regulatory requirements into actionable strategies that foster innovation while ensuring compliance. My expertise includes adeptly navigating emerging frameworks, proactively engaging with regulators, and driving enterprise-wide risk governance and supervisory readiness. I am recognized for effectively aligning regulatory strategy with business growth and building durable regulator confidence in dynamic, high-stakes environments, particularly in the evolving landscape of digital assets.