managing director, Compliance
Email: speck@accumepartners.com
Steven is a Managing Director with over 30 years of overall
business experience, 15 of which was in leadership roles within the
financial services industry. His expertise includes managing and
growing risk management consulting practices that provide
regulatory compliance, internal audit and loan review services to
financial services companies, including domestic
banks, international banks and credit unions.
As Managing Director, Steven is primarily responsible for
leading the Regulatory Compliance practice, building client
relationships across all service lines and ensuring that our
clients are proactively managing regulatory changes.
Steven is a former National Director of Risk Management for a
financial institutions consulting firm, where he was responsible
for managing the Risk Management Division (regulatory compliance,
internal audit and loan review consulting services), including
strategic planning, service delivery, business development and
acquisitions. Prior to that, he was Executive Vice President for a
national professional services firm that provides regulatory
compliance consulting services to the financial services industry
where he was responsible for strategic planning, business
development and corporate administration. Steven is also a former
banker and had a primary focus on commercial lending.
Steven is a graduate of the University of North Carolina, Chapel
Hill.