Stephan E. Robinson, Sr.
I am an enthusiastic and innovative team leader with 25 plus years of Banking Regulatory Examination, Governance, Risk and Compliance (GRC), as well as Audit experiences. I thrive in providing my clients with subject matter expertise on banking regulations, interactions with regulators and audit committees.
As a specialist in Bank Compliance laws and regulations, I am familiar with consumer transactions and lines of business including Time Deposits, Investment Accounts and Demand Deposit Accounts. Additionally, I am also a specialist in Financial Crimes Enforcement, Code of Federal Regulations, and have conductedSEC (Security and Exchange Commission) audits for medium to large Broker Dealers.
My strengths include Problem Solving, Financial Modeling, Project Design and Management, Customer Relationships, negotiations and multi-functional team leadership. With this broad range of experience I have a record of proven accomplishments across diverse industries.Development of strategic business alliances, design and implementation of business metrics and financial planning and analysis are just some of the tools in toolkit.