Steven Tabick currently has about nine years of experience within the financial sector. His focus has been regulatory and governance compliance for five of those years. He has experience developing Compliance Management Systems and Business Continuity Programs for companies to outline their compliance and risk needs. Steve’s compliance experience has helped him with risk assessment design and implementation and internal audit program creation, and he has extensive knowledge regarding policy and procedure writing. He successfully addressed consumer concerns, and complaints brought up to regulatory agencies such as the CFPB, BBB, and ATG. Leading and motivating company and client staff members to optimize their workflows and mitigate risk and compliance issues has helped him create a reputation as an efficient compliance specialist.
Regulatory Compliance Manager