Andrew has over 25 years’ experience in financial services and compliance. After gaining experience in the asset management and life and pensions sectors, Andrew moved to the FSA to work on industry-wide thematic projects and the supervision of asset managers, wealth managers, platforms and distributors.
Andrew joined Alpha in 2016 as Head of the Regulatory Compliance practice, responsible for helping Alpha’s clients to meet the regulators’ requirements. The team’s work includes assisting clients implement regulatory change, deliver ongoing investment compliance and maintain demonstrably effective governance and oversight, risk management and controls.
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