Garret Schembri

Head Of Compliance Practices at Royal Bank of Canada

Garret Schembri serves as the Head of Compliance Practices and Head of Enterprise Compliance Policies and Programs at RBC since March 2019, overseeing critical compliance policies including the RBC Code of Conduct and various conflict policies. In addition, Garret holds the position of Chief Product Owner for the Know Your Employee Program, responsible for managing key applications utilized by over 80,000 employees in compliance functions. Prior experience includes roles at RBC Capital Markets as Global Head of Corporate & Investment Banking and Research Compliance, as well as various compliance and risk management positions at Deutsche Bank, Macquarie Group, and National Australia Bank. Garret is a volunteer Safeguarding Governor on the School Board at Ark Academy and holds a Diploma in Investment Compliance from The Chartered Institute for Securities & Investment, along with a BA in Economics & Finance from RMIT University.

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Royal Bank of Canada

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Royal Bank of Canada is a financial services company focused on banking, wealth management, insurance, investment, and capital markets.


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Headquarters

Toronto, Canada

Employees

10,000+

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