Robin Oliver

  • Governance Arrangements, Risk & Compliance
  • Anti-Money Laundering
  • Anti-Bribery & Corruption
  • Asset Management & Alternatives
  • Broking
  • Corporate Banking
  • Market Abuse Risk
  • MiFID
  • Compliance Surveillance
  • Trading

Robin has spent nearly 30 years in the financial services industry, covering a wide range of the activities and services. He has headed up compliance, financial crime and risk divisions throughout that time, holding CF10 and CF 11 positions and latterly SMF16 and SMF17 roles. He has worked for a wide range of companies in the investment industry, including Citi, State Street, ICAP and Standard Chartered, having started his career at Clerical Medical.

He has worked with regulators in the UK and abroad, having led teams in the EMEA and European regions for much his career. Robin has also done significant work in establishing effective trade and communications surveillance capabilities and is very well versed in the expectations of regulators in this topic.

Robin is a seasoned strategic leader who has led a number of significant change programmes, especially in respect of major regulatory innovations.