Jonathan Bundy is compliance manager of service products for CUNA Mutual Group. In this role, he is responsible for the development of lending and deposit products and assisting credit union leaders with maintaining regulatory compliance through their policies and procedures.
Prior to joining CUNA Mutual Group, Bundy worked extensively with credit unions as an attorney in the credit union and human resources practices of the Madison-based law firm Whyte Hirschboeck Dudek, S.C. He has broad experience in advising credit unions, credit union trade organizations and credit union service organizations. His expertise includes consumer finance regulatory compliance, credit union governance, and labor and employment issues.
Lauren Capitini is a compliance manager in service products for CUNA Mutual Group. In this role she is responsible for issues involving regulatory compliance, lending and deposit, and credit union operations. Capitini joined CUNA Mutual Group in 2011.
Although Capitini is new to the credit union and financial industries, she brings significant regulatory expertise to her role. Prior to joining CUNA Mutual Group, Capitini was a senior attorney at the United States Government Accountability Office (GAO) in Washington, DC where she engaged in extensive work with heavily regulated industries, such as aviation and public transportation. She has several years experience working with and advising members of Congress and agency officials on statutory and regulatory issues in these industries.
Attorney, author, consultant and nationally recognized speaker, David is a partner in the law firm of Reed and Jolly, PLLC and founder of CU Doctor, a full service credit union consulting practice. Through Reed and Jolly, David provides guidance to credit unions concerning a variety of matters including the establishment and revision of credit union policies and procedures, organizational compliance, collections, security, contractual agreements, regulatory matters and corporate governance.
David is particularly noted as an expert in the areas of credit union operations, bankruptcy and collections. He has been selected to train NCUA Field Examination and Audit Staff on numerous issues including ID Theft Red Flags, S.A.F.E Act, Third Party Contract Management and Bankruptcy matters.
As vice president of Regulatory Compliance for PolicyWorks, Andrea is responsible for the delivery of PolicyWorks' regulatory services and new product development while also working with individual credit unions to provide them with training and counsel on certain regulatory matters.
In addition, Andrea assists credit unions with strategic compliance program management and is a nationally recognized speaker on credit union compliance issues. Prior to joining PolicyWorks, Andrea worked as a judicial clerk for the Iowa Court of Appeals.
Tyler is a nationally recognized speaker on financial institution operational and compliance topics, who over the last 20 years has taught compliance programs for 45 Credit Union Leagues, the Credit Union National Association (CUNA), the National Credit Union Administration (NCUA) and numerous credit unions and financial institutions.