Clyde Roach, CFA, FRM, DMS, PMP, CAMS, ICD.D, serves as the Senior Vice President and Chief Risk & Compliance Officer for Northern Trust Corporation in Canada since January 2015, overseeing Risk and Compliance, Anti-Money Laundering, and Government Relations. Previously, Clyde held the position of Managing Director at Manulife Asset Management Limited from 2009 to 2014, directing Investment Compliance and Business Risk. Earlier career experience includes roles at Mackenzie Investments, RBC Royal Bank, and McLean Budden Ltd. Clyde's extensive education includes certifications and designations in risk management, compliance, investment management, and law from esteemed institutions, solidifying expertise in financial services and compliance.
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