Before joining Promontory, he worked for eight years as a compliance specialist and risk manager at Lloyds Bank, where he carried out board-level reporting on regulatory issues, oversaw policies and standards for business conduct and product governance, set up market-abuse controls, and helped lead the firm’s regulatory relations. Chris previously spent seven years at the Financial Services Authority. He developed the regulator’s approach on fair customer treatment, supervised banking and asset-management firms, and served in a secondment at a major global bank.
Current role