Sheryl Millar is currently the Director of Compliance at Citi, a role they have held since 2024. They previously served as Vice President of Compliance at Citi from 2017 to 2024 and have extensive experience in compliance and investment management roles at companies including Martin Currie Investment Management Ltd, Alliance Trust Investments, and the Royal Bank of Scotland Group. Sheryl began their career as a Unit Trust Manager at Scottish Widows in 2001 and has developed a strong foundation in client relations, investment restrictions, and regulatory compliance throughout their career. Sheryl holds a Master's degree in Business and Economics from Heriot-Watt University and is also pursuing further education in Business Administration.
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