As General Counsel, I lead the firm's internal legal, risk and compliance function, enabling the firm and its staff to meet our regulatory obligations to our clients and managing the legal and regulatory risks we face.
I am responsible for directing the risk and compliance strategy for the firm in order to support the achievement of the firm's overall strategy and goals. I sit on the firm's management board and advise on a broad range of legal and regulatory issues.
I am also the firm's Compliance Officer for Legal Practice, Money Laundering Reporting Officer, Money Laundering Compliance Officer and Complaints Handling Officer.
I was first admitted as a solicitor in England & Wales in 2004 and have broad experience of working both in private practice and in-house.