Wolters Kluwer Expert Timothy R. Burniston to Participate in Compliance Executive Roundtable with Liberty Bank
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  • Wolters Kluwer Expert Timothy R. Burniston to Participate in Compliance Executive Roundtable with Liberty Bank

    April 15, 2016

    Roundtable to focus on most pressing banking compliance challenges

    Wolters Kluwer today announced that Timothy R. Burniston, executive vice president of the company’s Professional Services & Consulting Practice group, will join executives from Liberty Bank in a Compliance Executive Roundtable discussion focusing on compliance challenges in 2016.

    The Compliance Executive Roundtable, the first in a series of Wolters Kluwer regional roundtables slated in 2016, will be held Thursday, April 28, 2016 from 2 – 5:30 p.m. EST at the Radisson Hotel Cromwell in Cromwell, Conn. For existing users of CRA Wiz® and Fair Lending Wiz®, Wolters Kluwer will also offer a User Group and Advanced Training Session in the morning from 9 a.m. – 1p.m. EST. 

    Burniston, a former federal regulator, will provide an overview of pressing issues and identify areas where institutions can be proactive in their compliance monitoring and continued compliance program development. During the Roundtable, Burniston will be joined by Minnie Saleh, executive vice president of Retail Banking at Liberty Bank, along with Wolters Kluwer co-presenters Jeffrey Robb, senior consultant; Miral Patel, technical product manager; and Mindy Marchetti, product manager.

    “This year is proving to be yet another filled with regulatory and supervisory challenges for financial service providers,” said Burniston. “The outcomes from this Roundtable will help compliance officers, risk managers, legal counsel and auditors who are looking for more specific guidance when developing compliance programs that will continue to address evolving regulatory requirements, such as the Home Mortgage Disclosure Act and the Community Reinvestment Act.”

    Burniston joined Wolters Kluwer’s financial services business in 2011 to lead its Professional Services & Consulting Practice group, which helps compliance and risk management executives more effectively navigate an increasingly complex regulatory environment. Previously, he was a senior executive in the federal government who designed and led compliance, fair lending, and Community Reinvestment Act examination programs for the Federal Reserve Board, the Federal Deposit Insurance Corporation, and the Office of Thrift Supervision. 

    Space for this event is limited. To register, please visit our website.

    About Wolters Kluwer Governance, Risk & Compliance

    Wolters Kluwer Governance, Risk & Compliance (GRC) is a division of Wolters Kluwer which provides legal, finance, risk and compliance professionals and small business owners with a broad spectrum of solutions, services and expertise needed to help manage myriad governance, risk and compliance needs in dynamic markets and regulatory environments. The division’s prominent brands include: AppOne®, AuthenticWeb™, Bankers Systems®, BizFilings®, Capital Changes, CASH Suite™, CT Corporation, CT Lien Solutions, Corsearch, TyMetrix® 360, Passport®, LegalVIEW®, GainsKeeper®, OneSumX®, Uniform Forms™, VMP® Mortgage Solutions and Wiz®.

    Wolters Kluwer N.V. (AEX: WKL) is a global leader in information services and solutions for professionals in the health, tax and accounting, risk and compliance, finance and legal sectors. Wolters Kluwer reported 2015 annual revenues of €4.2 billion. The company, headquartered in Alphen aan den Rijn, the Netherlands, serves customers in over 180 countries, maintains operations in over 40 countries and employs 19,000 people worldwide.