I am an experienced regulatory professional and have worked in industry and practice for over 20 years, advising a wide range of FTSE 250 clients across banking, asset management and insurance. Working with high profile, complex clients across Europe, Middle East Africa and North and Central America, I deliver deep regulatory insight and am well placed to advise regulatory matters and emerging best practice. I have worked closely with executive committees, boards and senior leadership teams on a wide range of projects including assurance, change management, governance, transaction advisory, acquisitions and restructuring.
I am our Senior Managers and Certification Regime and Governance Assurance Lead – I draw on my global experience to support our international offices in respect to these areas. I am also a key contact for regulatory governance matters in the finance, risk and compliance team. Having worked closely with the C-Suite and boards across Tier 1 and 2 financial services firms, I strive to deliver effective and practical client outcomes, in line with industry best practice.
I am quite an adventurer and a passionate photojournalist. In my spare time, I travel to remote areas of the globe to document and capture through my lens the lives of the people, habitat and landscapes.
- FCCA (Fellow Chartered and Certified Accountants)