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Chad has more than 15 years of public accounting experience and serves as a shareholder in the firm’s assurance practice. He focuses on audits of financial institutions, mortgage companies, and a broad spectrum of non-depository lenders. His involvement in financial institutions includes several SEC registrants, which provides significant experience in SEC reporting, compliance with Section 404 of Sarbanes-Oxley Act of 2002, and working with registrants on IPOs and other offerings. He also works with a variety of consumer finance companies, asset-based lenders, and other niche lenders.