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Vice President

Fund Services Regulatory & Compliance

Cayman Islands 

T : +1 345 814 5918

M : +1 345 526 5918


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Glenwood has extensive experience in alternative investments that covers regulatory services, accounting and valuation, RTA services, and custody/safekeeping of assets. He currently provides regulatory services to a range of clients, particularly relating to FATCA and CRS compliance and he also assists in the provision of AIFMD depositary-lite services. 


Fund Services

Regulatory & Compliance


Previously, Glenwood worked at Credit Suisse in Dublin as a Manager for regulatory reporting and control where he assisted with development of the process for Client Money & Asset Return (CMAR) in addition to a focus on internal controls. Prior to that, he was based in the Credit Suisse Cayman Islands office as Product Development Manager for the Americas region. 



University of Tampa, US, Bachelor of Science, Accounting, 2005.


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