With significant experience as a bank regulatory compliance examiner and consultant, Mollie has helped community, regional and national institutions comply with federal and state regulations is particularly adept at understanding institutions’ regulatory compliance audit and consulting needs. She is well rounded in bank, credit union, mortgage company and financial services regulatory issues and seeks to connect potential and current clients with the proper resources for solving problems or for responding to regulatory requests.

Early in her career, Mollie was a bank examiner with the Federal Reserve Bank of Atlanta where she examined banks for compliance with federal regulations. She then spent fifteen years with Bank Administration Institute (BAI) where she developed industry conferences and seminars and was instrumental in the launching of two major certification programs for compliance and risk management. She ran a regulatory compliance consulting firm for 18 years where she and two partners served institutions training and compliance consulting needs across the country, in Guam and in American Samoa. She also is active in regional compliance associations where she enjoys sharing expertise with others. In addition to her consulting work, Mollie has been a presenter for a number of industry associations on a variety of compliance topics.

Education

Bachelor of Business Administration — Emory University, Atlanta, GA

MBA — Lake Forest Graduate School of Management, Lake Forest, IL

International Management Certificate — Kebel College, Oxford University, Oxford, England

Certifications

Certified Regulatory Compliance Manager (CRCM)

Chartered Risk Professional (CRP)