Compliance Forum Committee
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- Joella Elliott
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1 Compliance Forum Committee The Compliance Forum is the Institute's largest and it meets six times a year to discuss current issues. The Compliance Forum aim is to provide lively interaction at presentations and discussion on hot topics related to compliance in financial services. The forum responds to consultation papers and meets biannually with the FCA Practitioner Panel to share the forum's view on recent financial compliance developments Chairman: David Moland, Chartered FCSI Head of Compliance & MLRO, Arbuthnot Latham & Co., Limited David Moland joined the Arbuthnot Banking Group in 2006, as Head of Compliance of Arbuthnot Latham & Co., Ltd. Since that time he has had a wide range of responsibilities in addition to being Head of Compliance and MLRO, which have included oversight responsibility of the other regulated entities within the Group and covering the Chief Risk Officer role for four years. With the growth of the business the focus of his role has now moved to responsibility for Conduct Risk and Regulatory Risk. David is a member of Arbuthnot Latham s Executive Committee. David s role covers a wide range of regulated activities including Banking (Private and Commercial), Investment Management, Wealth Planning, Mortgage lending and Asset Finance. His previous experience in Compliance related roles, were at Credit Suisse (2 years), the Financial Services Authority (3 years) and Lloyds TSB (1 year). His earlier career (16 years) was primarily spent in customer facing roles at Lloyds TSB dealing with retail and business clients. He believes this mix of experience has enabled him to adopt a pragmatic approach to his current role. He is a Chartered FCSI and an ACIB. He has been a regular attendee at the CISI Compliance Forum for a number of years and is on his second term on the Forum Committee. He became Chair in He is also a member of the UK Finance Money Laundering Advisory Panel
2 Deputy Chairman: Elizabeth Hornby MCSI Senior Associate, Eukleia Training Elizabeth qualified as a barrister with a masters degree in criminology. She started her career in the city at the London Stock Exchange moving into compliance in the late 1980s at Nomura followed by Goldman Sachs. Elizabeth then worked as a compliance consultant for 15 years before joining Eukleia Training Limited. Elizabeth currently specialises in senior management, ethics and conduct of business training and is studying for a masters degree at Birkbeck in International Business Ethics and Corporate Governance. Deputy Chairman: Charles Jackson, Chartered FCSI Director, Court Management Associates Charles is an experienced compliance professional with a breadth of expertise across Governance and Risk matters across multiple business models. He has worked for a range of regulated firms since arriving 1990 at FTSE 100 firm, working across asset management, banking, life, market infrastructure and wealth management sectors. He undertakes a range of advisory, assurance or seeking approvals (for regulated/prospective firms) for retail and wholesale activities. He has undertaken Skilled Person (s166) reviews, precursors to enforcement investigations/actions and helped mitigate/navigate regulatory scrutiny. He has reviewed the robustness, adequacy and effectiveness of oversight arrangements (GRC and Internal Audit). He has obtained regulatory authorisations; managed regulatory visits; and high impact regulatory liaison, including lobbying on change matters and participating in engagement with an EU College of Regulated Supervisors. Charles had held senior full-time/interim roles. He was authorised as an Approved Person (Senior Management and Oversight Functions: CF4, 10 and 11) and as a Key Individual. He is a company director and an NED. He is a Director, Head of Risk and Regulation for the GRC Risk practice, Court Management Associates, a family owned accountancy and legal practice. Charles studied and worked within the compliance from the foundation of UK financial services regulation. His experience dates back to the original Financial Services Act 1986 and its regulatory structures. After completing a Financial Services degree, he obtained (the then SI) Diploma in Regulation & Compliance. He was one of the first individually granted Chartered Fellowship of the CISI. He completed ACII & ACIB examinations. He is also a Fellow of the ifs School of
3 Finance, a Freeman of the Worshipful Company of International Bankers, and a Freeman of the City of London. Charles has been an active member of the Compliance Forum since being a student member, a committee member for a decade and was Deputy Chairman until May He has been actively involved with the production of Compliance programme and the engagement with regulators. He shared the impact of regulatory change, produced or refreshed Professional Refresher and presented CPD workshops for the Compliance Professional Forum. He has designed and presented a Conduct Risk Training course for Risk Magazine (Oct 2014) and presented at the CASS Business School on an Advanced Global Risk Management course (2014). Nigel Avey, Chartered MCSI Head of Compliance, Vantage Capital Markets Nigel Avey is currently a member of the Board of Vantage Capital Markets LLP and Head of Compliance. Nigel has been a regulatory practitioner for over 25 years in the City and he has held a number of senior regulatory and legal positions in financial services companies, including Gerrard and National, Old Mutual and Man Group. Peter Brown, Chartered FCSI Training Consultant, CCL City Training Peter joined CCL in 2007, primarily as a specialist trainer in Anti-Money laundering (AML) compliance. Peter is a Fellow of the Association of Chartered Certified Accountants, a Fellow of the Chartered Institute of Bankers, and a Chartered Fellow of the CISI. Peter s earlier City of London based career was in banking and later focussed on internal audit and compliance disciplines covering domestic, international and wholesale banking, as well as later working with two major investment management companies. A move into consultancy work with a specialist AML consultancy firm meant that this broad hands on experience then provided a good base for serving clients through reviews of anti-money laundering policies and procedures, CDD due diligence audits and assistance in undertaking retrospective reviews to update CDD to contemporary standards. For several years, Peter was the voice of the JMLSG helpdesk; he has also been MLRO in two investment management companies and for the London office of a Middle Eastern bank. As well as working in and with banks and investment management companies, Peter has gained broader knowledge and experience whilst undertaking AML work with finance and leasing companies, mortgage lenders, stockbrokers, accountants and lawyers. Lecturing and training commitments have taken him across mainland
4 Britain as well as into the Channel Islands and Isle of Man, and have included work undertaken for ACCA and the Chartered Institute for Securities & Investment. Peter s involvement with CISI Professional Forums goes back many years. Until time barred, he was a member of the Risk Forum committee, going back into its days of the Internal Audit Forum. Now he is a member of the Compliance Forum committee. Peter s firm also has significant involvement in preparing and delivering CISI training courses and is a CISI accredited training firm. Richard Crannis MCSI Olinka Kelcikova ACSI Compliance Manager, Arbuthnot Latham & Co., Limited Olinka is a Compliance Manager at Arbuthnot Latham & Co., Ltd and has worked in financial services in last 10 years in various compliance roles covering banking, wealth management, financial planning and insurance. Olinka has also worked as an international auditor for multinational company based in Vienna. In last 2 years she has specialised in the Individual Accountability Regime (SMR & CR) and other regulatory projects (e.g. Whistleblowing, Modern Day Slavery Act, Benchmarking). These have involved advising and training Senior Management, HR and the business as a whole. Daniel Lewsey, Chartered MCSI Compliance Manager, Compliance & Legal - ICBC (London) Limited Peter Mulcahy, Chartered MCSI Compliance Specialist, Northern Trust Peter started his financial services career in 2001 and has worked in Compliance since At Northern Trust, Peter is a member of the Capital Markets Compliance team based in London, providing advisory services to the Capital Markets business. Prior to joining Northern Trust in April 2016, he spent 3 years as a Compliance Advisory Officer at ICAP, a leading markets operator and provider of post trade risk mitigation and information services.
5 Prior to ICAP he worked at inter-dealer broker Vantage Capital Markets and also the London Stock Exchange, in AIM Regulation and the Regulatory News Service. At the start of his career he worked at PLUS Markets in various roles. Peter is a Chartered Member of the CISI, and sits on their Compliance Forum Committee and European Regulation Forum Committee. He holds the CISI Certificate in Securities and Derivatives and the Diploma in Investment Compliance. He also holds an English degree from the University of Exeter. Natalia North, Chartered FCSI Compliance Officer, Makor Securities Natalia is an active supporter of the Compliance Forum since She has more than 20 years experience in financial services across a wide variety of sectors. Natalia was Head of Private Client Compliance at Libertas Capital Corporate Finance Limited (CF10), EGR Broking Limited. Currently Natalia is Compliance Officer and MRLO (CF10&CF11) at Makor Securities LLP- agency broker. Natalia attained CISI Diploma in Investment Compliance in 2005, holds the CISI Certificate in Derivatives and OAQ. Natalia was honoured to become Chartered Fellow from October Paul Whittaker, Chartered MCSI Magic Bullet Associates Paul is a qualified solicitor and has spent 18 years in compliance, most recently as Global Head of Compliance and Risk Training for HSBC Global Private Bank. He was previously Head of Compliance (CF10 & CF11) for Hoodless Brennan & Partners stockbrokers. His career began as a compliance officer at Personal Investment Authority (FSA s granddaddy). As a member of the JMLSG editorial panel Paul helped write the Money Laundering Steering Group guidance notes and Part II guidance. Tina Winder, Chartered MCSI Manager, Investment Compliance, Towry Investment Management Tina started her compliance career in 1997, having previously been a Chartered Secretary. As a result, she has extensive corporate governance experience and has experienced three regulatory regimes (IMRO, FSA & FCA) for a variety of
6 organisations, such as Bank of England, Lehman Bros, Capita, BDO Investment Management and RSM Tenon/Baker Tilly Investment Management. She has held the CF10 & CF11 functions and hence worked closely with the regulator in the past. Currently Head of Investment Compliance at Towry, her current focus is on retail wealth management and operation of funds. Interested in joining our committee or event mailing list? us:
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