Mark Egan is an experienced Regulatory Manager with a proven track record in the financial services industry, specializing in Dodd Frank, EMIR, MiFID II, and risk management. Currently, Mark works within the Client Classification Team at Lloyds Banking Group, having been a part of the organization since 2001. Mark's expertise includes navigating complex regulatory frameworks and mitigating regulatory risks, complemented by strong analytical and interpersonal skills. They hold a Certificate of Retail Banking Conduct of Business from The London Institute of Banking & Finance, reflecting a deep understanding of industry best practices.
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