I lead the regulatory advisory insurance practice in our financial services group. I advise clients across the insurance industry and other financial services. I regularly work with senior management teams to help them respond in a practical and proportionate manner to regulatory requirements.
My experience ranges across conduct regulation, compliance function effectiveness, governance, and risk management, having worked in all these areas in-house prior to advising clients. Having previously been in their shoes helps me to understand their current challenges.
I'm particularly active in leading our Consumer Duty work, by assessing client approaches and advising them on all aspects of this large regulatory change.
I enjoy giving back to the industry by volunteering as a member of the Chartered Institute for Securities and Investment (CISI) operations forum committee.
At the weekend, I make the most of spending time with our children and being in the outdoors.