Keith brings over 14 years of experience in the financial services industry to our Singapore team. He supports Bovill’s MAS / SFC license applications, in particular for fund managers and payment service providers. He is responsible for conducting internal audits for fund management companies in Singapore. He provides compliance training and handles various compliance projects such as drafting and revising compliance and AML policies and procedures for our Singapore and Hong Kong clients and helping them to prepare for regulatory inspections. He is often asked to act as in-house compliance officer on a secondment basis when clients need.
Before joining the Bovill team, Keith worked for BlackRock, acting as the compliance expert in Hong Kong, a role which included liaising with the SFC and conducting internal regulatory projects. Keith also worked as a compliance consultant at Kinetic Partners Hong Kong, handling SFC license applications and providing ongoing compliance support for clients including hedge funds, private equity and inter-dealer brokers. Prior to that, he had roles at both the SFC and the HKMA.
Keith holds a BBA degree from University of Wisconsin, Madison. He is also a Certified Public Accountant in Hong Kong and a certified Financial Risk Manager.