Michael Merriman
About Michael Merriman
Michael Merriman serves as Vice President at Red Ventures and Chief Compliance Officer at Sage Mortgage. He has extensive experience in financial services and compliance, having held various roles at PwC, Morgan Stanley, and Red Ventures.
Current Role at Sage Mortgage
Michael Merriman serves as the Chief Compliance Officer at Sage Mortgage, a position he has held since 2023. In this role, he oversees compliance strategies and ensures adherence to regulatory standards within the organization. His experience in compliance management is pivotal for maintaining the integrity of the company's operations.
Work at Red Ventures
Michael Merriman has held multiple positions at Red Ventures. He worked as the Financial Services Compliance Manager from 2018 to 2021, where he focused on compliance within the financial services sector. He later served as the Director of Compliance from 2021 to 2023, further enhancing the compliance framework at the organization. He currently holds the title of Vice President at Red Ventures, a role he began in 2023.
Experience at PwC
Michael Merriman's career at PwC spanned several years and various roles. He started as an Associate from 2012 to 2013, then progressed to Senior Associate in 2015 and again in 2017 to 2018, focusing on Financial Services Advisory. He also served as an Experienced Associate from 2013 to 2015. His tenure at PwC provided him with substantial expertise in financial compliance and advisory services.
Background in Mortgage Compliance
Michael Merriman has significant experience in mortgage compliance, having worked at Morgan Stanley as the Director of Mortgage Compliance from 2015 to 2017. His roles at Sage Mortgage, including Vice President and Director of Compliance, further solidified his expertise in this area. His background equips him with a comprehensive understanding of compliance requirements in the mortgage industry.
Education and Expertise
Michael Merriman earned a Bachelor of Science (B.S.) degree in Finance and Business Management from the University of South Carolina, studying from 2008 to 2011. His educational background provides a strong foundation for his career in financial services and compliance, enabling him to navigate complex regulatory environments effectively.