At the heart of Stedman Consulting Group is a well-honed ability to deliver workable, sustainable risk management programs customized to the size, complexity and risk profile of each company. Our deep expertise, including building compliance and third party risk managment programs, results in greater efficiency and effectiveness. Stedman Consulting can leverage existing data, testing or processes to develop or enhance monitoring programs. Striking a finely tuned balance between immediate regulatory demands and financial institutions’ long-term goals, Stedman Consulting delivers solutions that work — and last. Click here to download a PDF brochure of our services. > >


Compliance Risk Management


Fair Lending / HMDA /
UDAAP Risk Management


Regulatory Examination Preparation and Response


  • Adequacy of Compliance Resources
  • Compliance Process Improvements and Efficiency
  • Policies, Procedures, and Training Materials
  • Consumer Complaint Review Function
  • Compliance Reporting and Dashboards
  • Third Party Monitoring and Risk Rating Programs
  • Compliance Monitoring and Risk Assessments

  • Risk Management Programs
  • Risk Assessments and Comparative File Reviews
  • Marketing Materials and Practices
  • Overdraft Procedures and Processes
  • Monitoring Programs
  • Pricing Practices (Including Loan Officer Compensation)
  • Collection and Customer Service Practices
  • Loan Servicing and Foreclosure Practices
  • Adverse Action Notice Compliance and Process Improvements
  • HMDA Requirements and Data Accuracy

  • Regulatory Exam Readiness Assessment
  • Assistance during regulatory examinations
  • Responding to Compliance Examination Findings