Peter Moore is an accomplished compliance professional with extensive experience in regulatory affairs and compliance across various financial sectors. Currently serving as Director at Cinven Fund Management S.a.r.l. and Head of Compliance at Cinven, Peter has played a pivotal role in compliance monitoring, training, and preparing organizations for regulatory changes. Previous positions include Trade Body Representative at The Joint Money Laundering Steering Group Limited, Regulatory Affairs & Policy at HSBC Bank plc, and a contractor at Sloane Robinson Investment Management. With a career that began at the Securities Commission in New Zealand, Peter has consistently demonstrated expertise in compliance consulting and enforcement. Educational qualifications include a Postgraduate Diploma in Legal Practice from the College of Law, Chester, a Master of Laws from Queen's University Belfast, and a Bachelor of Laws from the same institution.
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