Billy Seitz
Senior Vice President, Chief Compliance Officer @Orrstown Bank
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WORK HISTORY
Senior Vice President, Chief Compliance Officer @Orrstown Bank
Harrisburg, PA, US
As Chief Compliance Officer, I serve as a strategic partner to executive leadership and the Board, driving the bank’s compliance vision and ensuring enterprise-wide adherence to regulatory and ethical standards. I lead the development of a robust compliance framework that supports sustainable growth, protects stakeholder interests, and reinforces a culture of accountability.Executive Responsibilities:• Architect and oversee the bank’s compliance strategy, aligning with evolving regulatory landscapes and business objectives.• Advise senior leadership and the Board on regulatory risk, governance, and emerging compliance trends.• Lead enterprise risk assessments and regulatory readiness initiatives across all lines of business.• Direct the development and continuous refinement of compliance policies, procedures, and controls.• Champion a proactive compliance culture through executive training, communication, and engagement.• Oversee regulatory examinations, internal audits, and investigations, ensuring transparency and timely resolution.• Manage relationships with regulatory agencies, ensuring open communication and trust.• Leverage technology and data analytics to enhance compliance oversight and operational efficiency.• Monitor consumer protection practices and ensure alignment with fair lending, UDAAP, and other key regulations.
EDUCATION
Missouri State University
Bachelor of Science, Finance
Rockhurst University
Masters of Business Administration, Finance and Management
SKILLS
ABOUT BILLY SEITZ
Experienced compliance executive with over two decades of working in the financial services industry. Demonstrated skill in creating, implementing, and operating compliance management programs that reduce regulatory compliance risk for financial companies. Recognized by peers as an effective leader, advisor, and partner in solving complicated problems with robust solutions. As a proficient and successful compliance executive, I have extensive experience in overseeing all aspects of a Compliance Management System and a proven record of achieving complex strategic goals that focus on compliance improvement and growth. I excel in dynamic environments that are constantly growing and changing operations as an active leader that fosters talent and furthers compliance partnerships across the enterprise. My background includes- Over 20 years of compliance management and regulatory compliance experience within the financial services sector with subject matter expertise in the management of Fair Lending, UDAAP, Complaint Management, Compliance Testing, Advisory, CRA, HMDA, Third Party Compliance Oversight and Executive Management and Regulatory reporting- Knowledge of and perspective on new and emerging innovation and regulatory change, such as CRA Modernization and Small Business Data Collection- The ability and vision to foresee, comprehend and implement changes in industry and regulatory compliance practices that could affect organizations- Achievement in getting stakeholders to agree on how to carry out strategy, objectives, and answers to mitigate compliance risks- Member of the MBCA Fair Banking and CRA working group.
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