Ryan Alexander

Overview

Ryan Alexander joined CLA in 2020, bringing with him a strong focus on regulatory compliance for Financial Institution clients. Since joining the firm, Ryan has demonstrated expertise in conducting comprehensive audits and examinations, with a primary emphasis on Bank Secrecy Act (BSA), Anti-Money Laundering and Countering the Financing of Terrorism (AML-CFT), and lending regulatory compliance. His meticulous approach ensures that clients remain compliant with evolving regulations and industry standards.

Prior to his role at CLA, Ryan spent five years at NTT Data Services. While there, he worked on a variety of compliance-based consulting projects, serving multiple top U.S. banks as well as a leading global investment banking firm. He played key roles for the diverse range of clients which included:

  • Fraud detection and suspicious activity reporting for a new credit card launch.
  • Developing new hire training programs for upcoming projects and proposals.
  • Supporting system migration and identify deficiencies.
  • Ensuring audit quality and imporoving control processes
  • Comprehensive mortgage loan reviews and servicing reporting.

This extensive consulting background has equipped Ryan with the ability to address complex regulatory challenges and provide tailored solutions that help financial institutions continually enhance their risk management and compliance practices.

Education

Texas McCombs School of Business (B.B.A., Finance)

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