SheshunoffTM
Sheshunoff
CRA/HMDA Compliance Manual for Financial Institutions
Product Image

Author: Regulatory Compliance Associates, Inc.
Format: 3-Ring Binder w/CD
Frequency: 2 updates annually
Price: $525
Plus shipping and handling.
Sales Tax: for NY, TX, DC, CT orders only.

About Your Subscription
You can review this product for 30 days. Your annual subscription includes published updates at no additional charge for the 12 month subscription period. At least 2 updates are expected. If you cancel your subscription within 30 days of receipt, you will receive a full credit upon return of the product together with a request for cancellation.
Order Now!

Highlights How to Use This Manual Table of Contents Preface
Look Inside This Book!*
*Requires Adobe Acrobat Reader

Even though it's been around since 1977, the Community Reinvestment Act (CRA) continues to be a thorny issue for bank compliance officers, as does the Home Mortgage Disclosure Act (HMDA). Community activist groups continue to look for opportunities to raise lending issues against banks, Congress continues to argue over CRA, and government agencies have promised continued scrutiny of both CRA and HMDA compliance.

Revised significantly in 1995, the CRA regulations were revised again with the passage of the Gramm-Leach-Bliley Act (GLBA). GLBA further changed CRA compliance procedures and created different specific requirements for small and large institutions.

This publication features many elements that make it the premier resource on compliance with CRA for financial institutions, including the following:

About the Author

In 1988, Jerry Miller founded Regulatory Compliance Associates, Inc. (REGCOM) for the purpose of providing proactive regulatory compliance products and services to financial institutions. Mr. Miller was formerly with the Office of the Comptroller of the Currency (OCC) as a field examiner and member of the OCC Chicago Regional/District management team. He also served as Midwest practice leader for KPMG Peat Marwick’s Financial Institutions Regulatory Compliance Consulting Practice Group.

With a wide range of regulatory examination and financial institution experience, REGCOM’s staff has experience in assisting management and directorates of complying with regulations, design and development of individual regulatory compliance programs for financial institution clients of all sizes, training, and regulatory agencies, REGCOM is positioned to maintain the reputation earned as a valued resource for financial institutions’ regulatory risk needs. As author of numerous publications covering a variety of management and regulatory focus areas, REGCOM offers proactive information and solutions to all levels of staffing within the financial services industry.

You might also be interested in:

For permission to photocopy or use material electronically from Sheshunoff publications you can visit the Copyright Clearance Center, Inc. online with your requests.
Copyright.com permission requests
Or contact:
Copyright Clearance Center, Inc.
222 Rosewood Drive
Danvers, MA 01923
1-800-772-3350 - Phone in your requests
1-978-646-8600 - Fax in your requests
info@copyright.com – Email your requests