Dillon is a prudential specialist, providing regulatory and compliance advice to a myriad of firms ranging from banks to investment firms including support with regulatory reporting and risk management.
Before joining Bovill Newgate, Dillon worked at a professional advisory firm advising on and evaluating risk management, compliance and regulatory requirements of multiple financial institutions. He has also been seconded to various firms in the delivery of risk and regulatory change projects.
Dillon is a Licentiate of the Compliance Institute (LCI), recognised by the International Federation of Compliance Associations (IFCA) members as an Internationally Certified Compliance Professional (ICCP).