About Simon

Simon is a member of the senior management team in the Bank’s governance function. He is responsible for regulatory compliance at the Bank and acts as its Money Laundering Reporting Officer. He is a Scottish qualified lawyer and has over 30 years’ legal and compliance experience with a range of financial services companies in the UK and Australia. Prior to joining the Bank, he was Head of Compliance EMEA for Aberdeen Asset Management.

 

How the Bank invests

If you want to explore the Bank's investment process, missions and success visit 'Make an investment enquiry' page to learn more.

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