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Mortgage Bankers Association (MBA) 2025 Compliance and Risk Management Conference

by Mortgage Bankers Association

The Mortgage Bankers Association (MBA) hosts the annual Compliance and Risk Management Conference, a premier event dedicated to addressing the latest developments in regulatory compliance, risk management, quality assurance, underwriting, and fraud prevention within the residential mortgage industry. This conference serves as a vital platform for professionals to gain insights directly from government-sponsored enterprises (GSEs), regulatory bodies, and industry experts.

Attendees can expect comprehensive sessions covering a range of critical topics, including updates on government lending practices, strategies for credit risk analysis and mitigation, and best practices in quality control and fraud prevention. The agenda is designed to provide actionable insights that participants can implement immediately to enhance their operational effectiveness and compliance strategies.

The conference also offers valuable networking opportunities, allowing professionals to connect with peers, industry leaders, and regulators. Additionally, attendees have the chance to earn Continuing Legal Education (CLE) and Continuing Professional Education (CPE) credits, supporting their ongoing professional development.

This event is essential for compliance officers, risk managers, legal professionals, and other stakeholders in the mortgage industry who are committed to staying abreast of regulatory changes and enhancing their organization's risk management frameworks.

Speakers(25)

Aaron Chastain, AMP

Partner at Bradley

Aaron Chastain is a Partner at Bradley, specializing in litigation related to key state cases and bankruptcy.

Aaron Mahler

Partner at Paul Hastings LLP

Aaron Mahler is a Partner at Paul Hastings LLP, focusing on litigation pertaining to RESPA, TILA, and junk fees.

Alisha Sears

Director, Regulatory Counsel at Mortgage Bankers Association

Alisha Sears serves as Director, Regulatory Counsel at the Mortgage Bankers Association, providing guidance on regulatory issues.

Andrew K. Stutzman

Co-Chair, Financial Services Litigation at Stradley, Ronon, Stevens & Young, LLP

Andrew K. Stutzman is Co-Chair of Financial Services Litigation at Stradley, Ronon, Stevens & Young, LLP, specializing in litigation developments related to FCRA, FDCPA, and TCPA.

Brian McGrath

Partner at Hinshaw & Culbertson LLP

Brian McGrath is a Partner at Hinshaw & Culbertson LLP, specializing in litigation related to key state cases and bankruptcy.

Brian S. Levy, Esq.

Of Counsel at Katten & Temple, LLP

Brian S. Levy is Of Counsel at Katten & Temple, LLP, specializing in RESPA Section 8 compliance.

Christian W. Hancock

Partner at Bradley

Christian W. Hancock is a Partner at Bradley, focusing on litigation developments in key state cases and bankruptcy.

Daniella Casseres, Esq.

Partner at Mitchell Sandler, PLLC

Daniella Casseres, Esq., is a Partner at Mitchell Sandler, PLLC, focusing on fair lending, LEP, and SPCP compliance.

Duane Gilkison

Senior Director, Loan Quality Compliance at Fannie Mae Single-Family

Duane Gilkison is Senior Director of Loan Quality Compliance at Fannie Mae Single-Family, focusing on loan quality compliance.

Gabriel Acosta

Regulatory Specialist at Mortgage Bankers Association

Gabriel Acosta is a Regulatory Specialist at the Mortgage Bankers Association, analyzing agency actions and legislation related to origination, servicing, and data protection.

Event Details

Date
September 15-17, 2025
3 days
Location
🇺🇸 Washington, D.C., United States
Grand Hyatt Washington
Pricing
$699 - $3,599
Audience
Compliance officers, risk managers, legal professionals, mortgage industry stakeholders
CLE Credits
CLE and CPE credits available