John Thorpe

Head, U.S. Financial Crimes Compliance

John Thorpe is a highly accomplished Forensic Accountant and Investigative Auditor with a robust background in finance, securities, regulatory issues, and law enforcement. They possess extensive experience in both foreign and domestic investigations and forensic audits. Currently serving as the Associate Director and Senior AML Compliance Officer at RBC Capital Markets and the Head of U.S. Financial Crimes Compliance at Vanguard, John holds certifications as a Certified Public Accountant, Certified Fraud Examiner, and Certified Anti-Money Laundering Specialist.

Location

New York, United States

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