Kirsty has a unique understanding of the UK regulatory regime from a secondment to the Financial Conduct Authority (FCA), combined with broad ranging industry experience across key sectors (investment banking, retail banking and fund management) through a series of long term secondments to Compliance /Risk departments/functions at major financial institutions.
She has completed a series of high-profile regulatory investigations, commissioned by FCA and led detailed reviews of governance, risk management and compliance arrangements.
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BA, Politics, Leicester University, England
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CPE and LPC, Guildford Law School
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Securities Institute Diploma
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Financial Planning Certificates 1-3
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UK Regulation
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Investment banking
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Retail banking
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Fund management
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Compliance