GIC
Lynn Hew is a seasoned compliance leader with extensive experience in financial services. Currently serving as Managing Director and Head of Compliance at GIC since July 2015, Lynn previously held the position of Senior Vice President and Deputy Head of Compliance. Prior to GIC, Lynn spent over six years at Credit Suisse as Director of Compliance for the Private Banking & Wealth Management Advisory & Control Group in Southeast Asia, following the role of Vice President in Private Banking Compliance. Lynn's career commenced at the Monetary Authority of Singapore, where responsibilities included Assistant Director in both the Corporate Finance and Market Conduct Policy Divisions and the Banking Supervision Department. Lynn holds a Bachelor's Degree in Business/Commerce from Nanyang Technological University Singapore.
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GIC
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Established in 1981 to manage Singapore's foreign reserves, GIC strives to achieve good long-term real returns on assets under their management to preserve and enhance the value of Singapore's reserves. GIC has investments in over 40 countries and are headquartered in Singapore, with 10 offices in key financial cities worldwide.