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Vice President

Regulatory & Compliance

Cayman Islands 

T : +1 345 814 5846

M : +1 345 525 5973


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Jonathan provides regulatory and compliance services to a diverse range of Cayman Islands fund structures, focusing on policies and procedures to ensure compliance with all relevant anti-money laundering legislation, regulatory standards and best practices. Jonathan has extensive financial services experience, including specific experience in the Cayman Islands fund industry.


Regulatory & Compliance


Previously, Jonathan was an investment services professional with Goldman Sachs (Cayman) Trust Ltd. in the Cayman Islands. He began his career in the financial services industry as a financial counselor with 21st Mortgage Corporation in Knoxville, Tennessee, US.


Carson-Newman University, US, Bachelor of Science, Business Administration, 2004.


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