With over 35 years experience in the financial services industry including 8 years in bank management roles in the Northeast and 30 years as a Federal Bank Regulator, Ron brings a wealth of practical experience and a depth of knowledge to his client assignments.
Ron has served as a Compliance Examiner and as a Supervisory Compliance Examiner for the FDIC. His substantive expertise includes: Truth in Lending, Equal Credit Opportunity, Real estate Settlement Procedures, Privacy, Unfair and Deceptive Acts and Practices, and similar consumer protection regulations.
His professional interests also include: advising bank management and directors on the corporate governance and internal control environments necessary to promote effective consumer compliance and, assessing and advising on improving bank compliance risk management operations and processes. Among the projects Ron has guided since joining SRS, Ron has advised clients on the development of consumer compliance risk management diagnostic tools.