Head of Risk & Compliance
Jonathan has over 30 years’ experience in offshore financial services undertaking a range of roles in a variety of banks on the Island including a period spent within the supervision division of the Jersey Financial Services Commission.
Jonathan is responsible for ensuring the firm complies with its regulatory obligations and fulfils its risk management objectives.
Memberships & Organisations
- London Institute of Banking and Finance (LIBF)
- Chartered Institute for Securities and Investments (CISI)
- Jersey Compliance Officers Association (JCOA)