Paul is a Managing Consultant, providing advice and support to asset managers and advisors.
Paul has experience working in compliance covering wealth management, capital markets, corporate finance, and fund management. This includes small fund managers and large scope fund managers, with a range of assets including venture capital, residential and commercial property, listed equities, and derivatives. Having previously held SMF16 and SMF17 roles, he has first-hand experience of managing the compliance issues that firms face.
Paul moved to compliance in 2010 after an early career in reconciliations and holds a degree in Accounting and Finance.