Chief Compliance Officer
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- Twenty-five years of financial services industry experience focused on leading Compliance, Operational & Regulatory Risk Management, product management and process design teams as well as contact center deployment and management. - Currently Chief Compliance Officer at Imprint Payments - Previously Director within KPMG's Risk Advisory Solutions focused upon Financial Services Regulatory & Compliance Risk - Compliance Executive at USAA overseeing the Bank's Compliance Program Office including responses to regulatory exams and third-party risk management. - Managing Director, Head of Compliance & Chief Consumer Compliance Officer at The Bancorp Bank leading the Corporate Compliance team (2017 – 2019). - Director, Card Compliance Operations & Technology at Citibank leading Technology Implementation Compliance, Card Operations Compliance, as well as Card Fair Lending, Privacy, ADA and AB&C Compliance (2014 – 2017). - Head of Global Compliance Practices & Governance for Consumer Card, Global Commercial Card, Card Canada & Chase Commerce Solutions at JPMorgan Chase (2013 – 2014). - Attended ABA Compliance School (2013). - Led Compliance Testing for Card, Merchant Services, Auto Finance & Student Lending at JPMorgan Chase (2012 – 2013). - Led Compliance Monitoring & Testing team for Global Commercial Banking, Global Corporate Banking, and Privacy & Information Data Compliance at Bank of America (2008 – 2012). - Managed internal, continuous self-audit to ensure compliance with regulations, policies & procedures for Global Corporate Banking Compliance Risk Management team at Bank of America (2006 – 2008). - Managed improvements to Online Banking Enrollment for Consumer Banking clients via web development project management at Bank of America (2004 – 2006). - National Call Center Manager of Enterprise-wide sales and service teams delivering Consumer Banking and Investment products and services to 140,000 associates and 5,000 Associate Premier clients at Bank of America (2002 – 2003). - Six Sigma Black Belt Certified (2004). - Series 6 / 63 licensed Investment Services Representative (2000 – 2001).
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