Financial Crime & Compliance
I am an outcome focussed, operational and regulatory compliance leader who enjoys the challenge of navigating the “grey” spaces within the compliance world. I thrive on build and remediation scenarios in the wealth management and financial services areas. I have over 18 years of broad regulatory compliance experience, attained in both Canada and the US within multi-channel distribution operations. I have a history of developing strong teams and regulatory relationships founded on advocacy, expertise, transparency, and trust.