The Compliance and Regulatory Team at Bayview is responsible for ensuring that all investment activities adhere to relevant laws and regulations. They conduct risk assessments, monitor compliance processes, and implement policies to mitigate potential regulatory risks. Additionally, the team collaborates with other departments to address compliance issues and maintain strong governance practices across the credit markets platform.
Arleen Renae' Terry ...
Sr. Compliance Risk Analyst
Brandi K. Shaddick E...
Compliance Counsel
Cindy Durand (Febre)
Compliance Specialist
Connie Sattanno
Information Security And Compl...
David Tedesco
Compliance Oversight Analyst
Jennifer Adams
Compliance Associate
Patrick Wajda
Compliance Auditor
Shane O'Connor
Senior Compliance Associate
Steve Rodriguez
Information Security And Compl...