As director, risk, compliance & legal, I lead the team who look after investments that require additional support.
I’m a member of the Group’s investment committee. My role also includes oversight of regulatory compliance and quality assurance for the Group.
ACIB-qualified, I joined the company in 2006 as a portfolio manager. Prior to this, I spent seven years managing investment portfolios and undertaking financial appraisal of businesses for the Welsh Development Agency. This followed nine years with Lloyds Bank where I specialised in SME Business Banking and Risk Management.