We opened in 2015, to provide professional compliance support services to the Financial Services sector. Our directors and consultants have many years experience in their specialist fields and have all held senior positions as CEO, COO, Risk or Compliance Director of regulated firms. We believe that as our consultants have worked on the business side as well as the regulatory side of business we add much more than the traditional compliance consultancy.
We cover Investment Firms, Emi's and brokerages through a hands on and practical approach designed to help you operate safely and efficiently.
We monitor all up and coming support technology to better help our clients stay cost effective, efficient and competitive.
Please visit our website for more detailed information on our services – or please contact us directly.