Ms. Madsen concentrates her practice in financial institution regulatory compliance.
Prior to joining Howard & Howard, Ms.
Madsen served as the Vice President of Compliance/Chief Compliance Officer with
an emerging Fintech platform helping small and medium-sized businesses secure financing and working capital solutions. She was
responsible for drafting regulatory compliance-related policies, procedures and
risk assessments; conducting compliance training and testing; reviewing and
revising contracts; and serving as the Bank Secrecy Act Compliance Officer. Ms.
Madsen also owned a compliance consulting company, ESTEE Compliance, LLC that
assisted credit unions with their regulatory compliance needs.
Ms. Madsen received her J.D. from the
University of Detroit Mercy School of Law and her B.S. from Central Michigan
University. She is licensed in the State of Michigan.