Group Compliance Manager
Christine has worked in financial services for nearly 27 years. Initially she worked in broker sales then as a financial adviser before moving into regulation and compliance. Christine spent over 7 years at the Regulator (FSA) including work in Enforcement/Investigations gaining valuable experience before moving back into the industry. Since then she has worked in senior and executive compliance and operational risk roles for firms including: Marks and Spencer’s Bank; Royal Liver; Bankhall; and Close Wealth Management.