Business Services
Chief Risk & Compliance Officer and General Counsel
I'm our Chief Risk & Compliance Officer and General Counsel, based in our Jersey office.
Prior to joining the firm in 2017, I was the European Head of Wealth Management Compliance at Royal Bank of Canada Channel Islands for five years, leading teams based in seven jurisdictions. Prior to that, I held a number of roles over eleven years within Royal Bank Law Group and Compliance teams in Canada.
I also practised commercial insolvency litigation at Minden Gross LLP in Toronto, Canada.
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