Paul is an Associate Director in our risk and regulation practice with 25 years’ financial services experience. Paul is a conduct risk expert within the Wealth Management sector with a particular focus on suitability of advice, product and distribution governance, and supervision and oversight.
He leads Deloitte’s wealth management proposition and has significant experience in managing and providing challenge to regulatory change projects (including the RDR, MiFID II and Consumer Duty), as well as leading thematic reviews of investment advice control frameworks.