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    • Our Clients
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    • Careers
  • Our Services
    • Regulatory Compliance
      • Consultation
      • Assessment & Monitoring
      • Independent Compliance Reviews
    • Internal Audit
      • Compliance Audits
      • Operational Audits
      • Audit Function Development
    • Fair and Responsible Lending
      • Fair Lending
      • HMDA
      • CRA
    • Due Diligence
      • The CrossCheck Advantage
      • Rated Securitizations
      • Portfolio Acquisitions
    • Loan Review
      • Pre-funding Quality Assurance
      • Post Closing Quality Control
      • Commercial Loan Review
    • Litigation Support
      • Expert Testimony
      • Expert Support Services
      • File Review
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  • Courses and Guides
  • MBA Course – Managing Consumer Complaints for Compliance Professionals
  • MBA Course – Managing Consumer Complaints for Compliance Professionals

    Courses and Guides By Heidi Wier
    Heidi Wier
    Managing Director

    If you’re seeking guidance on implementing an effective consumer complaint response process, the MBA provides a comprehensive resource through its Certified Mortgage Compliance Professional (CMCP) program. Managing Consumer Complaints for Compliance Professionals is a key course within the CMCP Certification and Designation program, the only credential exclusively designed for compliance professionals in the mortgage finance industry.

    This course offers foundational concepts to help organizations enhance their consumer complaint response functions with a compliance-first approach. Participants gain insights into complaint intake, resolution, CFPB expectations, and other critical components of a Compliance Management System (CMS). By addressing these essential areas, the course equips professionals with the tools needed to meet regulatory expectations and foster consumer trust.

    CrossCheck Compliance LLC is proud to have contributed to this program. Special thanks go to Heidi Wier for her instrumental role in developing the complaints course, ensuring it reflects the latest industry standards and best practices. We also extend our gratitude to Bill Tyner, who reviewed and updated the course material to keep it relevant and effective. In addition to the complaints course, Bill contributed to other CMCP offerings, including Anti-Money Laundering Laws and Managing an Effective CMS for Compliance Professionals.

    The MBA’s CMCP program serves as a vital resource for those committed to maintaining strong compliance practices and staying ahead in an evolving regulatory landscape.

    For more information about Managing Consumer Complaints for Compliance Professionals or other courses in the CMCP program, visit the MBA’s website.

    Category: Regulatory Compliance

    Speaking Engagements

    • Bank Administration Institute (BAI) Webinar – Addressing Regulatory Change Management and its Impact on Policies and Procedures
    • American Bar Association (ABA) – 2025 Consumer Financial Services Committee Meeting
    • Central Florida Compliance Association (CFCA) 2025 Annual Conference
    View All

    Announcements

    • CrossCheck General Counsel Appointed as Co-Chair of the Corporate Counsel Committee of American Bar Association’s Business Law Section
    • CrossCheck Compliance LLC Strategic Alliance with Gate House Compliance
    • CrossCheck Compliance LLC Added to DBRS Morningstar List
    View All

    Articles

    • Regulation E Back to Basics : Procedures for Resolving Errors
    • FCRA Fundamentals – Requirements for Furnishing Accurate Information to Consumer Reporting Agencies (CRAs)
    • FCRA Fundamentals – Disclosure of Credit Scores and Risk-Based Pricing
    View All

    White Papers

    • Implementing an Effective Internal Audit Function
    • Building Your Defenses: Compliance Management for First-Line Operations
    • Why Mortgage Companies Should Embrace Internal Audit
    View All

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