The Compliance and Risk Management Team at PennyMac is responsible for ensuring that the company adheres to all regulatory requirements and internal policies related to mortgage lending. By identifying, assessing, and mitigating risks, the team works to protect the organization from potential legal and financial repercussions while fostering a culture of compliance across all operations. Their efforts are crucial in maintaining trust with customers and stakeholders in a highly regulated industry.
Anne D. Mccallion
Senior Managing Director & Chi...
David M. Walker
Senior Managing Director & Chi...
Derek W. Stark
Senior Managing Director, Chie...
Don White
Senior Managing Director & Chi...
E Maria Daiute
First Vice President, AML Comp...
Kurt Heeren
Vice President, Corporate Comp...
Marcos Velez
Business Support Manager
Rolando Henry
Senior Vice President, Mortgag...
Stacey Button
Assistant Vice President Regul...
Thelma Morales
Senior Analyst, QC Reg Complia...