I lead our FS Regulatory Team which provides a broad range of advisory services to the financial services market, including corporate governance arrangements and the forthcoming SMCR requirements, board effectiveness reviews, new authorisations, and the full range of conduct and prudential matters. With over 20 years of regulatory, risk and compliance experience, I advise financial services firms on how best to pragmatically and proportionately meet the rules and requirements of the Financial Conduct Authority and the Prudential Regulation Authority.

 I have advised a wide range of retail firms including major banks, insurers, Lloyd’s managing agents, insurance brokers and consumer credit businesses, and am regularly appointed as Skilled Person by the regulators.

I speak regularly at various conferences, seminars and interest groups, and am an active member of the livery company for the insurance market, the Worshipful Company of Insurers.

Qualifications
  • ACII (Chartered Insurance Practitioner)