Mark Roper has extensive experience in compliance and market surveillance within the financial sector, currently serving as a Compliance Officer at Ninety One since September 2010. Key responsibilities include setting up a GRC system, conducting trade cost analyses, and performing best execution and transaction monitoring checks. Prior to this role, Mark worked at MoneyGram International as a Compliance Analyst, focusing on identifying suspicious transactions across multiple regions, and at BNY Mellon, where Mark handled anti-money laundering projects and KYC checks. Mark's career also includes positions at Barclays and Essex County Council. Mark is pursuing various certifications from the Chartered Institute for Securities & Investment and the International Compliance Association, underscoring a commitment to continuous professional development in compliance and financial regulation.
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