Christine Moran has an extensive work experience in the field of compliance and regulatory risk. Christine currently holds the position of Head of Compliance at Amundi since September 2021. Prior to this, they worked at State Street where they served as the Global Lead for Conduct Risk from December 2019 to March 2021, and as the Executive Director from January 2018 to January 2020. Before that, they were the Head of Office of Culture and Governance at State Street from June 2016 to December 2019.
Christine also held various roles at other organizations such as The Citco Group of Companies, where they were the Group Head of Regulatory Compliance from November 2014 to February 2016. Christine worked as a Managing Director at FTI Consulting from August 2013 to June 2014. Prior to that, they held a position at Legal & General as the Group Program Director for Group Regulatory Risk and Compliance from September 2012 to July 2013.
Their earlier work experience includes serving as the Group Head of Compliance at Collins Stewart Hawkpoint from August 2008 to April 2012, and as the Head of Compliance Monitoring and Control Room at Investec Bank Plc from November 2004 to August 2008.
Christine's career began at Price Waterhouse Coopers, where they were a Senior Manager from December 1999 to November 2004. Christine also worked as an Associate at the Financial Services Authority from 1997 to 1999.
Christine Moran completed their education in a chronological order as follows:
In 1992-1996, they attended the University of Birmingham, where they obtained a Bachelor's Degree in Political Science.
In 2021, Christine pursued further education at Saïd Business School, University of Oxford. Christine completed two courses during this time: "Leading Corporate Sustainability" and "Climate Emergency."
In terms of additional certifications, Christine obtained the "Sheryl Sandberg and Adam Grant on Option B: Building Resilience" certification from LinkedIn in January 2020. The information provided does not specify the institutions for their other certifications, namely the "Investment Management Certificate," "SFA Registered Representative Exam," and "Securities Institute Diploma (Regulation & Compliance paper)."
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