Mauricio Videla is a bank regulatory attorney and federal commissioned compliance examiner with the U.S. Consumer Financial Protection Bureau. His practice focuses on the assessment and enhancement of risk and control frameworks in large, complex financial institutions and conducting enforcement investigations to deter unfair, deceptive, or abusive acts or practices. He is also certified as a FINRA arbitrator.
Previously, Mr. Videla served in legal and compliance, retail banking, commercial insurance operations, and corporate governance roles at large private and public institutions, including TD Bank, U.S. Bankruptcy Court Eastern District of New York, Citibank, Chubb Group of Insurance Companies, and Office of the Mayor of the City of New York.
Mr. Videla earned his JD from Indiana University McKinney School of Law, MPA from Baruch College, and BA from St. John’s University. He is currently pursuing a diploma from the American Bankers Association Stonier Graduate School of Banking and a Leadership & Management certificate from The Wharton School at the University of Pennsylvania.