Charles E. Brown is Senior Vice President and Director of Compliance for EagleBank, where he focuses on (i) assessment and mitigation of business and operational risks impacting banking regulatory compliance; (ii) evaluating and monitoring compliance related operating policies, procedures and business processes; and (iii) staff development, training, and performance management. He has headed internal audit units with responsibility for credit policy and counterparty risk management, structured credit enhancements (mortgage), mortgage asset acquisition, servicing, and loss mitigation for Fannie Mae. At EagleBank, Mr. Brown manages depository, lending and operational regulatory compliance. As Audit Director at Fannie Mae, he spearheaded risk and business reviews of proposals for mortgage credit enhancement transactions, business and loan product development initiatives and mortgage lending programs. As VP, Risk Management/Compliance Officer at Suburban Federal Savings Bank he managed independent reviews of residential real estate development and mortgage loan files for compliance with origination, underwriting, credit and servicing requirements in addition to managing bank regulatory compliance. Mr. Brown earned an MBA in the Executive Fellows Program, Loyola University Maryland, and is a Certified Regulatory Compliance Manager (CRCM) and former Certified Internal Auditor (CIA).
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