ANGELA S. MONTFORD
**** *.*. **** ***. PEMBROKE PARK, FL. 33023
PHONE: 954-***-****
SUMMARY OF SKILLS AND QUALIFICATIONS:
Florida 2-15 Insurance License - (Life, Variable Annuity & Health)
Management Experience Working Within the Financial Services, Banking and Mortgage Industry.
Exceptional Client Relations, Negotiation, Sales and Communication Skills.
Specializing in Contract Negotiations, Client Consultation & Transaction Management.
Strong Ability to Prepare, Review, Interpret Contracts & Other Legal Documents.
EDUCATION:
(M.B.A) MASTER OF BUSINESS ADMINISTRATION
Nova Southeastern University, Fort Lauderdale, FL. (Dec.1999)
Bachelor of Science Degree-Business Administration (June 1992)
State of Florida Real Estate License (Since October 2001)
***State of Florida 2-15 Insurance License (Since March 2012
PROFESSIONAL EXPERIENCE:
Real Estate Sales Associate
Licensed With Florida Department of Business & Professional Regulation
Specializing in Miami Dade County & Broward County, Florida October 2001- Present
Assist clients in negotiations, buying and selling residential real estate. Advises client throughout the entire real estate process; from preparing the sales contract to arranging for inspections, appraisals, financing, and closings.
Director of Compliance (Financial Services)
Yale Mortgage Corporation
Miami, FL. March 2009- Aug. 2011
Responsible for managing operations to ensure compliance with corporate policies, procedures, laws, statues and the Corporate Quality Control plan. Responsible for reviewing and interpreting contracts, broker agreements and disseminating regulatory information updates. Respond to subpoenas, interrogatories and consumer complaints. Supervise state licensure activities, quality control audit reviews and State mandatory compliance reporting. Direct point of contact for all outside Legal Counsel, State Auditors and Industry Regulators.
Director of Compliance (Financial Services)
Home Equity Mortgage Corporation & Certified Home Loans (Financial services Industry)
Miami, FL. June 2005- Nov. 2008
Managed business operations to ensure compliance with corporate policies, procedures, laws, statues and the quality control plan. Supervise licensure activities, QC audit review, quarterly reporting, and management reporting and complaint resolution. Direct point of contact for all outside legal counsel, state auditors and industry regulators. Reviewed contracts, responded to subpoenas & interrogatories.
Compliance Manager (Financial Services)
Homebuilders Financial Network, Inc. (Financial Services Management and Consulting Company)
Miami Lakes, FL. 2000-2001
Responsible for managing regulatory affairs nationally for over 35 client offices. Maintains compliance with state licensing bureaus. Reviews and prepares investor contracts, state annual reports, & QC audits.