Rare expertise from a relatable mortgage quality control team.
The Regulatory Solutions management team has over a century of combined experience in the financial services, mortgage banking, investment and insurance industries. Our growing team includes bank regulatory examiners, compliance officers, experienced mortgage loan quality control and audit professionals and lawyers. The experience of our principals and staff gives us real insights into both the challenges and opportunities that confront our clients every day. In an industry where things can change from day to day or even minute-to-minute, flexibility becomes as vital as expertise. We have built our reputation by using our expertise in helping clients adapt to change. Headquartered in Birmingham, Alabama, Regulatory Solutions is a WBENC certified women-owned business.
Meet the industry leaders that can help you turn change into progress.
President | Linked in
Recognized as an industry authority, Betsy, the president of Regulatory Solutions LLC leads her team and advises clients with experience gained in the top echelon of banking and insurance industries. She founded the company in 2011 after serving as senior vice president and general counsel for a federal savings bank. There she was responsible for the legal affairs of the bank and its holding company and managed the legal and compliance department, internal audit department and quality control department as well as all communications with regulatory agencies. Betsy has also served as a director and attorney of several insurance companies. She is a graduate of Samford University’s Cumberland School of Law and Auburn University.
You can contact Betsy at email@example.com or 205-536-7715.
Executive Vice President | Linked in
Rhonda is a well-known and highly sought out compliance consultant in the banking industry. Her work in the field began in 1984 when she served as an instructor, bank examiner and regulatory analyst for the FDIC and then in the Office of Thrift Supervision for the Department of the Treasury. She has served as the compliance officer with several banks where she managed all aspects of regulatory compliance and quality control and was responsible for all training, examinations and regulatory updates as well as managing HMDA and CRA reporting and monitoring. She is a graduate of Jacksonville State University.
You can contact Rhonda at firstname.lastname@example.org or 205-536-7717.
Senior Vice President and CFO | Linked in
Tim manages the company’s financial accounting and human resources. He joined the company in 2013 after having served in several key roles for banks leading the effort in returning them to profitability and managing commercial real estate lending. He began his career in compliance as a federal thrift regulatory analyst for the Federal Home Loan Bank and as a federal thrift regulator and bank examiner for the Department of the Treasury, Office of Thrift Supervision. A graduate of Murray State University, Tim received his MBA from Samford University.
You can contact Tim at email@example.com or 205-536-7712.