Patrick uses his industry experience to provide practical regulatory advice, guidance and support to a number of financial services clients and the Complyport team.   Patrick has previously worked for a global asset management company as a Legal and Compliance Associate. Patrick has a strong working knowledge of the rules and requirements of the Financial Conduct Authority, with a particular focus on UCITS funds, CASS and fund mergers.

He has been involved with authorisation applications for the Monetary Authority of Singapore and the Swiss Financial Market Supervisory Authority for AIFs, reviewing of financial promotions and investor communications, and has assisted in MiFID II projects involving commodity position limits, best execution and client categorisation.