Michael has over ten years of regulatory compliance and internal audit experience. He oversees all aspects of the client engagement, including preparation, execution, and review of fieldwork and reporting.
Since joining Snodgrass, Michael has primarily worked with financial institutions. This experience has made him proficient in his ability to analyze and assist clients with the high-risk areas affecting the industry, particularly with respect to regulatory compliance and safety and soundness issues. He is also involved with regulatory compliance monitoring implementation and execution, HMDA data scrubs, COSO Framework implementation related to SOX and FDICIA, and SOC reporting.