Mark A. Wilson

Compliance Risk Supervising Examiner at The Federal Reserve Bank of New York

Mark A. Wilson, MPA, CAMS, currently serves as Compliance Risk Supervising Examiner and BSA/AML Compliance Lead Examiner at the Federal Reserve Bank of New York since December 2014. Responsibilities include assessing compliance programs related to the Bank Secrecy Act (BSA), Anti-Money Laundering (AML), and Office of Foreign Asset Control (OFAC) to identify issues and implement mitigative actions. Previous experience includes roles as a BSA/AML Legal & Compliance Examiner and Senior Litigation and Enforcement Paralegal, with a focus on supporting legal research, analyzing Suspicious Activity Reports, and assisting in various litigation matters. Additional experience encompasses positions in multiple law firms, providing substantial support in litigation, employment law, and document management. Mark A. Wilson holds a Master of Public Administration from Columbia University and a Bachelor of Arts from Fairfield University.

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