IGUV

Lawyer, external compliance expert

Advisory Board

ABOUT ME

I have 20 years of experience as a compliance officer in the financial and energy industries, including 5 years as an independent compliance, risk and ICS function for institutions in the financial and other industries.

PROFESSIONAL EXPERIENCE

MEMBERSHIPS

With my experience and my professional knowledge
I am at the disposal of the association and its members.

My goal:
Finding solutions and overcoming obstacles,
create value and help me and my business partners
thereby bring joy to me and my business partners.
DO YOU HAVE A COMPLIANCE ISSUE YOU NEED ASSISTANCE WITH?

Get in touch with me.

NEWS - COMPLIANCE AND REGULATION

FINMA APPROVALS COMPLETED
The Swiss Financial Market Supervisory Authority FINMA approves a fifth supervisory organization and grants...
Compliance and risk management
With FinSA, FinIA , the requirements for asset managers have increased. Anyone applying for a FINMA license must...
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