SCP Services

Compliance, Licensing & More

Our Services

Compliance and Licensing Support Made Simple

SCP provides nationwide support to mortgage broker owners, NDCs, and processors to ensure compliance with all state and federal regulations. We offer licensing assistance, ongoing support and resources to help our clients maintain a secure and successful business.

Our Services

Solutions for Every Brokerage

Compliance for Mortgage Brokers

Starting at $249 per month

Are you a mortgage broker needing compliance support? Our flagship program is here to help every step of the way. With three levels of support to meet state and federal requirements, flexible options, and personalized guidance, we’ll handle the heavy lifting to ensure a smooth, fully compliant transition. Let’s get you there!

Compliance for Non-Delegated Correspondents

Starting at $349 per month

Making the move from broker to NDC? We’ve got you covered with three levels of support to help meet NDC requirements. Some options let us handle more of the heavy lifting so you can focus on what matters—your clients. With flexible solutions, added policies, and one-on-one time with our team, we’ll ensure your transition is seamless and fully compliant.

Compliance for Processors

Starting at $249/month

SCP offers two compliance solutions for Processors, packed with courses, policies, and support to keep your program strong. Need extra help or growing fast? Our Premium option has you covered! .

MCR Filings

Starting at $250

SCP assists brokers in submitting their quarterly mortgage call report, alleviating the compliance burden and streamlining the process.

Licensing for Mortgage Brokers

Starting at $349

Get expert support with nationwide licensing for your brokerage, branch, and MLO needs. Our services ensure compliance and streamline the licensing process, saving you time and effort. Prices vary by state and membership level.

Testimonial

What They Say About Us

Why Choose Us

Voted #1 Support Solution Nationwide

SCP is the flagship business in compliance support with over a decade in business

Compliance consultants with over 30 years fo experience

Save Money, Save Time, Be Audit-Ready, and streamline your compliance program

Licensing support from starting a business to expansion across multiple states

Get A Free Consultation

Not sure what you need of where your brokerage is vulnerable? Contact us today for a free evaluation of your compliance situation.

About Ari Karen

Ari Karen is an experienced litigator who has focused his practice in representing financial institutions in both government investigations and litigation before state and federal trial and appellate courts nationwide. Mr. Karen’s practice is diverse, representing clients on matters concerning banking regulations, Dodd Frank financial reform laws, contractual disputes, employment and labor statutes, wage-hour class actions, employment discrimination and fair lending matters, whistleblower complaints and non-competition claims, among others.

Mr. Karen speaks regularly on topics affecting all types of lenders including fair lending and disparate impact, LO compensation, marketing service agreements, compliance with social media, non QM lending, vendor management, and much more. Mr. Karen is a principal in the Financial Institutions Regulatory and Labor and Employment practice groups of the Offit Kurman law firm.