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WHF Brown Bag Lunch: HMDA & Fair Lending
American Bankers Association
1120 Connecticut Avenue NW
Washington, DC 20036
Tuesday, November 05, 2019, 12:00 PM - 1:00 PM EDT
Category: Events

WHF Brown Bag Lunch: HMDA & Fair Lending

The program will discuss findings from the most recently available HMDA data and what it tells us about fair lending compliance.

Tori K. Shinohara
, Mayer Brown 
Rod Alba, American Bankers Association  
Jessica Thurman, FDIC 

Date: November 5,  2019  
Time: 12:00 - 1:00 pm 
Location: American Bankers Association, 1120 Connecticut Avenue NW, Washington DC 20036
Metro: Farragut North & West


Register Here

Speaker Bios

Tori Shinohara is a partner in Mayer Brown’s Consumer Financial Services group. She practices in the areas of mortgage banking and consumer finance, and concentrates on representing clients in connection with federal and state government enforcement matters and counseling clients on compliance with federal and state consumer financial protection laws and regulations, including ECOA & HMDA. Tori also assists clients with performing regulatory compliance due diligence in connection with investments or acquisitions related to consumer financial products, such as mortgage loans, auto loans, student loans, consumer loans and retail installment contracts. Tori is a graduate of GW’s law school and Trinity University (San Antonio).

Rod Alba is the Senior Vice President and Senior Counsel for mortgage markets at the American Bankers Association. His role includes management of legal and regulatory issues relating to mortgage banking and compliance issues generally. Before joining the ABA in 2007, Rod advised and assisted on the coordination of the mortgage industry’s state and federal legislative efforts as Legislative Counsel and Senior Director of Government Affairs at the Mortgage Bankers Association. Rod earned his Juris Doctor (1993) from Syracuse University and a B.A. in Economics (1990) from the University of Maryland, College Park.

Jessica Thurman is a Senior Examination Specialist at the FDIC.  Jessica first joined the FDIC as a Compliance Examiner in 2009, earning her commission in 2011 and her CRCM in 2012. Prior to joining the FDIC, Jessica worked as a Compliance Specialist at a financial institution as well as a Compliance Examiner at the Federal Reserve.  During her tenure at the FDIC, Jessica has worked on several initiatives relating to consumer compliance such as drafting policies, procedures and examination guidance, evaluating compliance risk of financial institutions engaged in significant third-party activities, and making presentations on emerging issues.