Compliance and Risk Management

About

The Compliance and Risk Management team at Oakwood Bank is responsible for ensuring that the bank adheres to all regulatory requirements, identifying and mitigating potential risks, and maintaining ethical standards in all operations. This team, including the SVP | Community Reinvestment Act Officer, CRA Lender, and Compliance/CRA Analyst, focuses on compliance with the Community Reinvestment Act (CRA) to support community development and manage the bank's risk exposure to protect both clients and the institution.