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Melinda L.

Head Of Risk & Compliance at Private Practice

Melinda L. has a diverse work experience in the legal and financial services industries. Melinda is currently working as the Head of Risk & Compliance at a private practice since May 2021. Prior to this, they had a contract role at the same private practice from February 2021 to May 2021.

Before joining the private practice, Melinda worked as the Chief Compliance Officer at Crown Financial Services Limited from June 2020 to January 2021. Melinda also had roles at FE Investments Group, where they served as a Compliance Officer from June 2019 to April 2020 and as a Legal Executive from March 2018 to April 2020.

Furthermore, Melinda has experience in the legal field, having worked as a Registered Legal Executive-Legal Services at Bank of New Zealand from January 2017 to March 2018. Melinda also held the position of Legal PA/EA - Financial Services at MinterEllisonRuddWatts from March 2014 to January 2017.

Their early work experience includes a fixed-term role as a Legal Administrator - Corporate & Commercial at Simpson Grierson from May 2013 to February 2014.

Overall, Melinda L. has built a strong background in risk and compliance, as well as legal and financial services, throughout their career.

Melinda L. obtained a Legal Executive Certificate from the Auckland University of Technology in the field of Law in 2008. Melinda also holds a Legal Executive Certificate from the New Zealand Law Society. No further information is provided regarding the specific month and year of obtaining the additional certification.

Links

Previous companies

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Timeline

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    Head Of Risk & Compliance

    May, 2021 - present