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    Scott Usiak

    Chief Compliance Officer

    Professional Background

    Scott Usiak is a highly skilled senior compliance professional recognized for his extensive experience in financial industry compliance management. Throughout his career, Scott has demonstrated a unique ability to design and lead large-scale program enhancements and remediation efforts that drive organizational change and improve compliance standards. His keen focus on identifying root causes enables him to construct risk-based and practical solutions that not only meet regulatory requirements but also address compliance challenges effectively.

    Scott's background is distinguished by his role as Head of Compliance - North America at DNB, where he leads compliance initiatives designed to safeguard the organization against regulatory risks. In this capacity, he collaborates with various stakeholders, ensuring that compliance measures align with business objectives. His previous positions, including Head of Governance, Risk and Controls Management - Americas at HSBC and VP Director at HSBC, have further sharpened his ability to navigate complex regulatory environments and implement robust compliance frameworks.

    Additionally, Scott has served as a Lead Senior Regulatory Specialist at the Financial Industry Regulatory Authority (FINRA), where he honed his understanding of regulatory expectations and compliance requirements across the financial service spectrum. His expertise spans various aspects of compliance, governance, and risk management, solidifying his reputation as a go-to expert in the field.

    Education and Achievements

    Scott Usiak's educational journey began at Regis High School, a prestigious institution that set the foundation for his passion for learning and excellence. He went on to achieve a Bachelor of Arts in Political Science from the College of the Holy Cross, where he developed critical thinking skills and a profound understanding of governmental structures and regulations.

    Scott further advanced his education by obtaining a Juris Doctor (J.D.) degree with a Sports Law Certificate from Tulane University Law School. His legal education has equipped him with a deep understanding of the legal framework surrounding financial regulations, enabling him to excel in his compliance roles.

    Achievements

    Scott's outstanding communication skills allow him to effectively present complex regulatory concepts to senior-level executives and boards, solidifying his position as a trusted advisor in the compliance domain. He is adept at developing strong working relationships across the three lines of defense: operational units, risk management, and compliance—creating a cohesive and coordinated approach to managing compliance risks.

    Beyond his professional roles, Scott demonstrates a commitment to fostering external relationships, acting as a vital regulatory liaison who ensures transparency and open communication between regulatory bodies and financial institutions. His engagement with regulatory agencies has proven invaluable in navigating the intricacies of compliance requirements and building a culture of compliance within organizations.

    Scott Usiak's journey in the compliance realm is marked by a dedication to excellence, collaboration, and innovative thinking. His ability to marry legal knowledge with practical compliance strategies positions him as a distinguished leader in the financial industry, poised to contribute significantly to the compliance landscape for years to come.

    Related Questions

    How did Scott Usiak enhance compliance programs at DNB?
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    What skills does Scott Usiak believe are essential for successful compliance management in the financial industry?
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    What strategies does Scott Usiak employ to build effective relationships across the three lines of defense in compliance?
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    Scott Usiak
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    Location

    New York City Metropolitan Area