Our risk management team consists of professionals with proven knowledge, experience, and expertise in mortgage banking who have worked at some of the largest loan originators in the country as well as federal and state agencies, having held such titles as:

  • Chief Compliance Officer
  • Compliance Counsel
  • Compliance Manager
  • General Counsel
  • Operations EVP
  • Primary Regulator (federal)
  • Compliance Attorney
  • Secondary Markets EVP
  • Senior Examiner (state)
  • Underwriting EVP

LCG professionals and support staff have extensive experience in risk management, licensing, quality control, HMDA / CRA, and all areas of regulatory compliance affecting a variety of needs in the residential mortgage industry.

Our clients come from all areas of the mortgage banking community, privately owned or publicly traded. Because we are proficient in conventional and government lending programs, the guidelines promulgated by government-sponsored entities, investors, and federal and state regulatory agencies, we are a first choice for risk management solutions.

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