Phillipa is Chief Risk Officer for the Maples Group and is a member of the executive management team with responsibility for the global compliance team and oversight of information security and data privacy. Phillipa has extensive knowledge of the operations of the Maples Group’s lines of business, focusing on business processes, policies and procedures as well as identifying areas of business and operational risk and ensuring the necessary controls are in place to mitigate them on a global basis. Phillipa also manages the Maples Group’s various regulatory and compliance client services teams, including AML services, FATCA/CRS and AIFM/Manco services. She also serves on the boards of the firm’s AIFM/Manco entities, Ceres Fund Management (Cayman) Limited and MPMF Fund Management (Ireland) Limited. Phillipa maintains a keen awareness of evolving laws and regulations and ensures that the Maples Group is positioned to adapt to these changes while continuing to exceed the expectations of its clients.
AREAS OF EXPERTISE
Regulatory & Compliance
Previously, Phillipa was an executive director in the fixed income division at Goldman Sachs International in London where she gained experience in structured products including SPV repackaging, CDOs and credit linked products. Before that she worked for Swiss Bank Corporation as a technical specialist in capital markets and treasury operations focused on OTC derivatives.
University of Chicago, US, BA (Hons), Political Science, 1992.
Member of 100 Women in Finance