Head of Compliance
With over 28 years experience in the financial services industry, Greg has a wealth of knowledge in the areas of advice, funds management and financial services compliance.
Greg's area of expertise lies in a deep understanding of the compliance requirements around professional advice, fund raising, funds management and best practice client standards, security and reporting.
Currently a director in a long standing Aged Care consultancy, a medical imaging company and a long standing financial services provider. Previously with Genesys, the Wealthcare group and the NAB in regional Victoria and Melbourne.
Greg’s role is as the Responsible Manager of Compliance for PE Capital and its investment businesses.