Chris Wilson

Chris Wilson

Compliance Analyst Managed Assets Division | Supervisor Of Impairment Testing @ Synovus

About Chris Wilson

Chris Wilson serves as a Compliance Analyst in the Managed Assets Division at Synovus, where he supervises impairment testing and advises on forecasting impairment inflows. He has over a decade of experience in various roles within the banking sector, specializing in appraisal analysis and regulatory compliance.

Current Role at Synovus

Chris Wilson currently serves as a Compliance Analyst in the Managed Assets Division and holds the position of Supervisor of Impairment Testing at Synovus. He has been in this role since 2018, contributing to the oversight of impairment testing processes. His responsibilities include advising Special Assets and Bank Management on forecasting potential impacts of impairment inflows. Wilson also develops and streamlines internal policies to enhance efficiency and ensure regulatory compliance within the division.

Previous Experience at Synovus

Chris Wilson has held multiple positions at Synovus over the years. He worked as a Personal Banker/Teller II from 2006 to 2009 in Statesboro, GA. He then transitioned to a Credit Support Specialist role from 2009 to 2011, also in Statesboro. Wilson served as a Senior Impairment Specialist from 2011 to 2014 in Alpharetta, GA, and as Supervisor of Impairment Testing in Credit Risk Analysis from 2014 to 2018 in Atlanta, GA. His diverse experience within the organization has equipped him with a comprehensive understanding of banking operations.

Education and Expertise

Chris Wilson studied at Georgia Southern University, where he gained foundational knowledge that supports his career in banking and compliance. He specializes in ASC 310-10-35 (FAS 114) analysis, focusing on impairment testing and fair market value determination of non-performing assets. His skills include appraisal analysis and implementing efficiency measures to minimize cost impacts to the institution.

Compliance and Regulatory Oversight

In his current role, Chris Wilson oversees division self-testing to ensure adherence to policies, procedures, and banking regulations. He has extensive experience working with government financial regulators, third-party, and internal audits, consistently receiving positive reviews. His focus on compliance and regulatory oversight contributes to the integrity and efficiency of the Managed Assets Division.

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