Rebecca is Bovill’s Chief Executive Officer, responsible for the continuing success of Bovill and our future growth.
Rebecca has been helping financial services firms as a regulatory consultant for over twenty years and has been part of the Bovill team since 2006. An expert in UK and Asia regulation, she has led major projects with international asset managers, wealth managers, banks and payment services providers. Her subject expertise embraces governance, client money, financial crime, ESG and conduct of business requirements. She has also spent time on secondment as Head of Compliance and MLRO, acted as a Skilled Person on FCA section 166 work, and overseen our delivery of licensing and ongoing compliance support services for private equity, real estate, hedge and other alternative funds and brokers.
Before stepping into the CEO role, Rebecca was head of Bovill’s operations in Asia, overseeing the delivery of our services to clients in Hong Kong and Singapore while sitting on the International Board and the Executive Committee.
Rebecca gained a Masters degree in 2012 from Queen Mary University of London in Law and Economics, and has an undergraduate degree from Durham University in Mathematics and Computer Science. Her Masters dissertation was an empirical study to prove that, at that time, hedge funds did not create systemic risk to the wider market.