M: 07797 918 706
Ian brings with him 35 years of experience in the finance industry, primarily with private banking and investment industry. His most recent role was as Head of Central Compliance at a large, global private bank with compliance teams across Hong Kong, Singapore, India, Dubai, London, Guernsey and Jersey reporting to him during his tenure. He has held board director positions on a Jersey bank, Guernsey fund management company, a Channel Islands pension board of trustees and was a member of the operation risk, investment management, client and management committees at country and/or global levels. As part of his role, amongst other responsibilities, Ian was responsible for Global and Country Compliance Risk Assessments and the resultant action plans, developed and built key compliance procedural documents and provided associated training.
He holds a post graduate diploma in International Compliance (ICA), certificate in Investment Management, is a representative of Securities and Financial Derivatives and a fellow of the International Compliance Association.