ABOUT ME
Professional background
With more than 18 years of experience in insurance law, compliance and financial regulation, I have developed extensive expertise advising insurers, financial institutions and regulated entities in complex regulatory environments.
My career spans international consulting firms, insurance groups and regulated organisations, where I have held senior positions including Interim Head of Compliance, Executive Director in consulting and senior legal and compliance advisor. These roles have provided me with a comprehensive understanding of regulatory frameworks, governance requirements and supervisory expectations.
Scope
I support insurers, intermediaries, financial institutions and other regulated entities in navigating regulatory, legal and compliance challenges.
My expertise covers a broad range of regulatory frameworks, including insurance regulation, compliance, sustainable finance, conduct of business requirements and prudential matters, with particular expertise in IDD, ESG, PRIIPs, Solvency II, AML/CFT and GDPR.
Approach
My approach is structured, independent and pragmatic.
I combine regulatory expertise with practical implementation experience, helping organisations translate regulatory requirements into workable and proportionate solutions adapted to their size, complexity and risk profile.
Compliance, in my view, should:
- support sound governance and informed decision-making
- strengthen trust with regulators and stakeholders
- contribute to the long-term resilience of the organisation.
Why work with me?
With more than 18 years of experience in insurance law, compliance and financial regulation, I combine technical expertise, executive-level leadership experience and hands-on implementation capabilities.
I work closely with boards, senior management and compliance functions to provide clear, proportionate and practical support aligned with supervisory expectations and business realities.