Head of Compliance and Risk
Steve began as a dispute and complaint handler in 2007 and has operated in conduct, risk, and compliance for 10 years in large and small organisations. Steve has worked across the financial sector to improve consumer outcomes, including supporting Trade Associations feedback on regulatory consultations and producing best practice guidance with the Money Advice Liaison Group (“MALG”). Steve sits on the Steering Committee for MALG Southeast. Steve has a Diploma in Compliance Risk Management and is a Mental Health First Aider.