Detail-oriented and highly analytical Compliance Analyst with over 10 years of experience in regulatory compliance, risk-based auditing, and disclosure documentation. Adept at HMDA, TRID, RESPA, and UCD requirements with demonstrated expertise using Encompass, Mavent, and document preparation tools such as Docusign. Proven track record in policy development, audit support, stakeholder communication, and regulatory reporting. Known for resolving compliance issues, managing disclosures, and improving internal procedures across lending operations.