Ronnie Kwok


Ronnie is a Consultant in our Funds practice in London and has over 8 years’ experience in regulatory compliance. He helps a wide range of clients across all our jurisdictions with FCA applications, risk assessments, compliance monitoring and day to day compliance advice and support. He also assists asset managers implement remuneration requirements.

Before joining Bovill, Ronnie was the Head of Compliance for a financial group with asset management, advisory and brokerage businesses. He has also worked for the Securities and Futures Commission of Hong Kong, where he developed a strong understanding of how regulatory bodies operate and how policies are made.


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