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      Kirsty has a unique understanding of the UK regulatory regime from a secondment to the Financial Conduct Authority (FCA), combined with broad ranging industry experience across key sectors (investment banking, retail banking and fund management) through a series of long term secondments to Compliance /Risk departments/functions at major financial institutions.

      She has completed a series of high-profile regulatory investigations, commissioned by FCA and led detailed reviews of governance, risk management and compliance arrangements.

      1. Areas of expertise

        UK Regulation

        Investment banking

        Retail banking

        Fund management

        Compliance

      2. Education & qualification

        BA, Politics, Leicester University, England

        CPE and LPC, Guildford Law School

      3. Accreditations

        Securities Institute Diploma

        Financial Planning Certificates 1-3