BNP Paribas Personal Finance
Mark Page, FICA, MCSI, currently serves as the Head of Regulatory Compliance at BNP Paribas Personal Finance since May 2021. Prior experience includes roles such as Compliance Manager, Senior Compliance Officer for West Midlands Pension Fund, Head of Compliance at STF Ltd, and Compliance & Facilities Director at S&U Plc / SD Taylor Ltd, where responsibilities encompassed compliance framework development and risk management. Mark has a strong foundation in compliance and risk frameworks, having transitioned organizations to meet regulatory requirements in the consumer credit sector and managed substantial investment portfolios. Educational qualifications include diplomas in Anti Money Laundering and Governance, Risk and Compliance, along with ongoing studies at NEBOSH for health and safety certification.
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