Chris Beevor is an accomplished Chief Compliance Officer with extensive experience in compliance and regulatory operations across global financial institutions. Currently serving in this role at SEI and previously as Group Compliance COO and MLRO at GAM Investments, Chris has demonstrated leadership in compliance activities, sanctions, and financial crime prevention. Prior experience includes roles at UBS Investment Bank and Macquarie Group, where Chris was integral in implementing regulatory frameworks and risk management systems. Chris holds a Master of Business Administration and a Higher Diploma in Business Management from Henley Business School.
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