Broad range of financial services legal and regulatory compliance experience from within law firm, consulting, entrepreneurial, and in-house settings.
Responsible for managing the company’s legal, risk management, and compliance aspects.
Vice President & Corporate Counsel for U.S. Bank, leading legal and regulatory change management processes for the mortgage division.
Bachelor’s degree in Philosophy from UCLA, law degree from Georgetown University Law Center. Certified Anti-Money Laundering Specialist (CAMS).