Greg is the Group Compliance Director at Tavistock and joined the Tavistock Investments Group via the first acquisition in 2014. During his career he has held compliance roles in both Advisory and Wealth Management businesses. Now supporting all areas of the Investment Management business, with particular focus on the establishment and on-going compliance control of the Investment Management products and services, whilst providing liaison between the regulated Group entities.
Sign up to view 1 direct report
Get started