We are a newly established compliance consultancy with nearly 70 years in combined financial services experience.
Our Consultants have worked diligently throughout their careers with both FCA and PRA regulated firms, supporting them in all compliance needs covering both conduct and prudential regulatory considerations.
Our core mission and objectives are to establish strong relationships with clients and provide practical compliance solutions to our clients’ compliance needs.
Our experience has enabled us to understand the Regulator’s requirements and perspective whilst at the same time providing practical and cost-effective solutions to clients.
We strive to be the bridge between the Regulator and our clients!