As bankers know, today’s complex regulatory climate and new financial technologies create a myriad of ever-changing challenges for bank management. Keeping pace with these critical issues can present significant obstacles for banks of all sizes. From lenders to front-line staff, bank personnel are impacted by the burden of regulatory compliance and information technology transformations.
At Stinnett, we understand how the internal audit function has evolved over time and offer co-source and outsource solutions to help banks achieve effective and efficient operations, systems and controls. We can work with your team to ensure your readiness to meet and exceed the expectations of regulators and other third parties.
Our banking subject matter experts can assist in internal audit and compliance areas that include governance and reporting audit, FDICIA compliance and testing, cybersecurity review, asset liability management, loan operations audit, Basel III and much more.
Stinnett & Associates is not a CPA firm.