The Legal and Compliance Team at the Financial Conduct Authority ensures that the organization adheres to legal regulations and internal policies while overseeing the conduct of financial businesses. This team provides expert legal guidance, manages compliance risks, and develops policies that foster consumer protection and market integrity. Through their oversight, they help maintain trust in the financial sector, addressing issues related to consumer duty, cyber resilience, and regulatory waivers.
Akim H.
Senior Associate - Digital Ass...
James Smith
Waivers Manager - Wholesale Au...
Jennifer Lee
Senior Associate - Primary Mar...
Jon Melton M.inst.is...
Cyber & Information Resilience...
Paul Adams
Interim Manager, Risk & Compli...
Richard Wilson
Manager, Consumer Duty Team
Sheree Howard
Executive Director, Risk and C...
Stephen Braviner Rom...
General Counsel
Tessa Jones
Senior Lawyer
Therese Chambers
Joint Executive Director, Enfo...
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