About Stedman Consulting Group


As the regulatory playing field continues to shift and expectations rise, compliance risk management is increasingly essential. Stedman Consulting is an ideal partner for financial institutions seeking solid support and effective guidance for regulatory compliance efforts.

Achieving a careful balance between the expectations of regulators and the needs of financial institutions, Stedman Consulting delivers high-quality, customized solutions that stand up to today’s regulatory realities while anticipating tomorrow’s challenges.

Our goal is to provide or enhance truly workable, efficient and effective programs that make sense for your financial institution and your people, while anticipating and meeting regulatory expectations.

Rooted in hands-on, real-world experience and offering a wealth of compliance risk management expertise, including deep fair lending knowledge, Stedman Consulting is a trusted advisor to financial institutions of all sizes. Stedman Consulting Group partners with other consulting and legal firms as needed, working in the way that best supports each client.

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About Sharon Stedman


Sharon StedmanWith 20 plus years of hands-on banking experience, Principal Sharon Stedman has approached regulatory compliance and risk management from all angles, uniquely positioning her to assist banks in effectively and efficiently reducing risk and meeting regulatory challenges. Ms. Stedman has built, implemented, managed, overseen and examined compliance programs, having worked as a Sr. Compliance Mgr. for Enterprise Compliance Programs, Fair Lending Officer, Bank Compliance Examiner and Enforcement Attorney.  Ms. Stedman has advised companies ranging from a national credit card bank, multi-state mortgage lenders, regional banks, and a multi-state payday lender.  She has experience helping companies prepare for and manage CFPB, FDIC, and OCC compliance examinations.