Causeway Securities
Paul O'Donnell is a Compliance Officer at Causeway Securities since June 2022. Prior to this, Paul worked at Ulster Bank from June 2016 to June 2022, holding positions such as AML Commercial Manager Business Analyst and LDC Analyst. Before joining Ulster Bank, Paul was a Financial Advisor at HCL Technologies from February 2011 to June 2016. Paul earned a degree in Business Management and Marketing from Liverpool John Moores University between 2011 and 2015, following their education at Aquinas Diocesan Grammar School from 2001 to 2008.
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Causeway Securities
Causeway Securities is a global independent securities brokerage. We maintain a regulated presence in UK and US, and service clients around the world. We are authorised by the UK Financial Conduct Authority and were granted FINRA membership in July 2022 to conduct business in the US. We work with financial services professionals around the world delivering innovative structured investment solutions with focus on client outcomes and transparency.