Great Missenden, Buckinghamshire, United Kingdom
Financial service industry nonexecutive director, compliance specialist and lending expert.
Financial Services
Education
ifs School of Finance 1998 — 2015
CeMAP, CeRGI, CeRCC, CeARL, AdvCeMAP, CeRCH, CeCM, CeRER, CeSRE, CertBB&C, Financial Services
International Compliance Association/Manchester Business School 2012 — 2014
CertFCA, CertAMLA, CertCA, Financial Crime and Compliance
Chartered Insurance Institute 1993 — 2001
FPC, MAQ, Financial Services
Chartered Institute of Arbitrators 1999 — 1999
ACIArb, Arbitration
Chartered Institute of Marketing 1994 — 1994
DipM, Marketing
Open University 1988 — 1993
DipMan (Open), Business Management
Experience
Professional Financial Claims Association February 2013 - Present
Rockstead Limited January 2009 - Present
Baxters Business Consultants April 1993 - Present
Mortgage Promotions April 1993 - Present
Central Law Training April 2002 - January 2014
Mortgage Code Compliance Board August 2000 - October 2004
Cheltenham & Gloucester 1975 - 1993
Skills
Strategic Financial..., Funding, Structured Finance, Asset Management, Operational Risk, Banking, Risk Management, Financial Crime, Product Development, Financial Advisory, Training, Underwriting, Due Diligence, Credit Risk, Fraud, Product Lifecycle..., Investments, Pensions, Commercial Mortgages, Mortgage, Mortgage Industry, Marketing Strategy, Credit, Financial Regulation, Portfolio Management, Financial Structuring, MCOB, Mortgage Underwriting, Expert Witness, Income Protection, Audit, Mortgage Servicing, Relationship Management, Training Consultancy, Investment Banking, Residential Mortgages, Auditing, Retail Banking, Product Life Cycle..., Wealth Management, FSA, Finance, Mortgage Lending, Operational Risk..., Private Banking, Financial Services, Capital Markets, Compliance, Insurance, AML