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Colin Quillinan


194 Washington Avenue
Suite 600
Albany, NY 12210

Colin brings years of experience as a compliance officer to his work advising financial institutions, mortgage companies, sales finance companies, and other providers of consumer financial services on compliance with state and federal law, including usury restrictions, preemption, licensing, and other regulatory compliance matters.

Previously, Colin served as Vice President and Director of Compliance at a major financial holding company where he led the teams overseeing policies, reporting, and regulatory change management for all compliance functions across the national footprint of entities (totaling approximately $150 billion in assets in aggregate). Colin also has consulting experience, working with financial institutions to develop and implement effective compliance management systems.


  • J.D., Roger Williams University School of Law, 2012
  • B.A., Siena College, 2009, cum laude

Bar Admissions

Massachusetts, New York