Richard held associate roles at Life and Pension Companies prior to joining the Financial Services Authority in 2001. During 6 years at the UK regulator, Richard held roles within the Prudential Policy and Supervision divisions before joining SG Hambros Bank Limited in 2007 becoming the Group Head of Compliance, AML and Financial Crime. In 2013 Richard joined Deutsche Bank to advise the Asset and Wealth Management divisions on regulatory developments.​


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