Marty is our Managing Director with 18 years of experience in the regulatory compliance field. After retiring from a successful career as a U.S. Army officer, he served as a commissioned federal compliance examiner with the FDIC. As an examiner Marty was responsible for determining financial institution compliance with consumer protection laws and regulations. He also served at their DC Headquarters. During a tenure with Capital One, he led the design and implementation of their corporate level mortgage compliance program. Marty served our largest, most complex clients nationwide and for the past six years has led our compliance consulting division.