Director, Advisory, FS Regulatory & Compliance Risk, KPMG US
Director, Advisory, FS Regulatory & Compliance Risk
Andrew is a Manager in KPMG’s Risk Strategy & Compliance Practice with over ten years of financial sector experience. Andrew’s background spans regulatory risk, policy making and post-merger integration roles in the financial services industry. Since joining KPMG, Andrew has assisted clients in interpreting and responding to evolving regulatory requirements.
Prior to joining KPMG, was a Senior Advisor to a Member of the Senate Banking Committee where he worked on the negotiation, drafting, and implementation of key provisions the Dodd-Frank Wall Street Reform Act, including the Volcker Rule and the risk retention framework for asset-backed securities (ABS). Prior to his tenure in the Senate, Andrew led post-merger integration projects for a global systemically important financial institution (G-SIFI).