Chief Compliance Officer for RBC Bank (GA), N.A. and the Wealth Management New York Credit Branch
Melanie Kandil has served as the Chief Compliance Officer for RBC Bank (GA), N.A. and the Wealth Management New York Credit Branch since November, 2016. In this role, she has responsibilities for the regulatory compliance function, including Consumer Compliance, Privacy and Safety and Soundness regulations. Melanie also serves at the CRA Officer for RBC Bank, a role she has held since 2012. Prior to this role, Melanie served as Director, Consumer Compliance for RBC Bank where she led the Bank’s Consumer Compliance program. Prior to joining RBC Bank, Melanie served as Senior Vice President and Corporate Compliance Specialist for Alabama National BanCorporation where she was responsible for developing and implementing the organization’ lending compliance program, including CRA, HMDA, and Fair Lending.