
Priscilla Molina
Priscilla Molina manages RBC’s relationships with its U.S. prudential regulators (i.e., Federal Reserve and OCC) for RBC’s Combined U.S. Operations (“CUSO”). Priscilla acts as the primary point of contact for the U.S. prudential regulators, provides support and advice relating to regulatory matters, and oversees the ongoing monitoring, reporting, and escalation of key regulatory matters.
Priscilla joined RBC in 2016 and held several positions on the Swap Dealer and Volcker Rule Advisory Teams prior to Regulatory Relations. Prior to RBC, Priscilla was responsible for the Swap Dealer Compliance Program at Santander Bank, N.A., worked on the implementation of Dodd-Frank Title VII regulations at the National Futures Association, and practiced law at several law firms.
Priscilla is a licensed attorney in the state of New York. Priscilla earned her Juris Doctor from St. John’s University and her Bachelor of Arts from New York University.