Where they hold approval

Firms where this individual holds — or has held — an FCA-approved role.

    • 21. Advising or arranging (bringing about) equity release transactions
    • 4. Giving personal recommendations on retail investment products which are not broker funds
    • 7. Giving personal recommendations on long-term care insurance contracts
    • 20. Advising or arranging (bringing about) regulated mortgage contracts for a non-business purpose
    • [FCA CF] Functions requiring qualifications (since 26 Nov 2020)
    • [FCA CF] Client dealing (since 26 Nov 2020)
    • SMF3 Executive Director (since 9 Dec 2019)
    • SMF16 Compliance Oversight (since 9 Dec 2019)
    • SMF17 Money Laundering Reporting Officer (MLRO) (since 9 Dec 2019)
    • Responsible for Insurance Distribution (since 1 Oct 2018)
    • Responsibility for MCD Intermediation (since 21 Mar 2016)
    • CF30 Customer (1 Nov 2007 to 8 Dec 2019)
    • CF21 Investment Adviser (1 Nov 2006 to 31 Oct 2007)
    • CF1 Director (1 Nov 2006 to 8 Dec 2019)
    • CF10 Compliance Oversight (1 Nov 2006 to 8 Dec 2019)
    • CF11 Money Laundering Reporting (1 Nov 2006 to 8 Dec 2019)
    • CF8 Apportionment and Oversight (1 Nov 2006 to 31 Mar 2009)
    • Responsible for Insurance Mediation (1 Nov 2006 to 30 Sep 2018)
  • St. James's Place Wealth Management Plc (no longer approved here)

    FRN 195351

    • CF21 Investment Adviser (6 Sep 2005 to 31 Oct 2006)
    • CF1 Director (AR) (31 May 2005 to 31 Oct 2006)
    • CF22 Investment Adviser (Trainee) (31 May 2005 to 6 Sep 2005)

Recent activity

Updates to this individual's record on the FCA register.

No changes recorded yet.