Patricia Milon is an accomplished bank regulatory expert, with over 30 years of enterprise risk management and corporate governance experience, most recently as the Enterprise Chief Compliance Officer for E*TRADE Financial Corporation, a $50 billion online bank and broker. Ms. Milon has particular expertise in effective mitigation of compliance, legal and regulatory risk, and in driving positive risk culture transformations.
Prior to joining E*TRADE, Ms. Milon was the Chief Counsel and Chief Compliance Officer at Scottrade Bank, a startup affiliate of a broker-dealer that grew to $17 billion in assets during her tenure. In that role, she designed the corporate governance framework for the bank, served as the Corporate Secretary to the Board, and built the compliance program from the ground up. Earlier in her career, Ms. Milon held senior leadership positions at America’s Community Bankers and at Fannie Mae, where she was the chief regulatory attorney for the company. Ms. Milon began her career in private law practice and also spent six years in the General Counsel’s Office of the U.S. Treasury Department.
Ms. Milon is a frequent speaker on banking topics, and in March 2019 was a guest lecturer on bank compliance at the Owen School of Management, Vanderbilt University. She has a proven record of helping Boards of Directors and CEOs successfully navigate complex regulatory environments.