Stuart Watchorn is an accomplished compliance professional with extensive experience in the financial services sector. Currently serving as a Senior Compliance Officer at GAM Investments since January 2021, Stuart provides compliance advisory services to Front Office investment teams, focusing on a range of products including Fixed Income and Sustainability. Previous positions include Head of Asset Class Oversight at Legal & General Investment Management, Interim Head of Compliance at CIBC, and various roles at BlackRock and Merrill Lynch. Stuart has demonstrated expertise in regulatory change management, team leadership, and compliance training, alongside participation in high-level regulatory engagements. Education includes qualifications from the CFA Society and the Chartered Institute for Securities & Investments.
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