M&G Investments
Andrew Melville is currently the Head of Investments Compliance Advisory at M&G Investments since September 2023. Prior to this role, Andrew Melville worked at EY from July 2015 to September 2023, providing risk and regulatory consulting services to the Wealth and Asset Management sector. Key responsibilities included conducting regulatory transformations and reviews, as well as reviewing operating model designs and governance frameworks. Before EY, Andrew Melville held several positions at Northern Trust, including Senior Vice President - Product Solutions, where the focus was on product strategy for the insurance sector. Andrew Melville's earlier experience includes roles at J.P. Morgan, Fidelity Worldwide Investment, and Merrill Lynch, with a strong emphasis on client solutions, fund accounting, and internal audit in the financial services industry. Andrew Melville holds qualifications from ICAEW and the University of Alberta.
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