Regulatory Compliance Attorney (Mortgage Industry) – Any Office

Offit Kurman is seeking a regulatory compliance attorney to join our growing Financial Institutions Regulatory Practice Group.     Applicants must have experience providing advice on mortgage origination compliance matters and be actively licensed (any state).  Attorney can work out of our NY, PA, MD or VA office.



  • Represent mortgage lenders, brokers, servicers, and related companies before federal and state regulatory authorities, including the CFPB, HUD, DOJ, FDIC, FTC, the Federal Reserve, state Attorneys General during investigations and enforcement proceedings. 
  • Provide advice to our clients on existing laws and regulations that govern mortgage lenders, mortgage brokers and financial institutions.
  • Assist clients on implementing policies and procedures in compliance with various federal regulations and agency guidelines (TRID, Qualified Mortgage Rules, HUD FHA Mortgagee guidelines, RESPA Anti-Kickback provisions, FCRA and FACTA Act requirements, FinCen Anti-Money Laundering requirements and Privacy rules)
  • Advise on state lender, servicer, broker and other licensing requirements
  • Compliance audits


Resumes to Leigh Novack at