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Boards of the Future and the impact on Compliance

About This Webinar

 Responsible for driving the business, boards of directors are experiencing increasing pressures on a range of fronts such as: increased workload; managing regulation and reporting requirements; ensuring diversity; and embracing technology.
How do these challenges affect compliance professionals? This webinar will focus on the:

The Crowded Agenda – risk management vs strategy, and finding the balance
Risk and Reward – managing risk, including director indemnities and managing regulation and reporting

Using the report, 'Boards of the Future', produced by Burness Paull LLP and Savendie as the basis of discussions, this webinar explores how the main themes affect compliance professionals and will discuss how the role of the compliance practitioner has evolved

Joining Walter Clark from Burness Paull, Sheelagh Duffield from Savendie will be Jess DeAlwiss, from Hawksmoor Investment Management, Matt Carter from Broadgate Recruitment and Mark Taylor from ICA who will moderate the panel.

Who can view: Everyone
Webinar Price: Free
Featured Presenters
Webinar hosting presenter
Product Director, International Compliance Association (moderator)
Mark is an accomplished compliance professional who has led and supported compliance teams across different jurisdictions. He also has extensive experience of developing training solutions within the financial services sector. Before working for ICA, Mark held various senior management positions with HSBC, Standard Bank and Lloyds Banking Group. He understands the practical challenges faced when managing regulatory risk and is keen to help clients develop engaging and effective training solutions in response to risk and remediation priorities. He has an international perspective having managed teams in several countries and territories including the UK, Hong Kong, Channel Islands, Dubai and Mauritius. 
Webinar hosting presenter
Corporate Partner, Burness Paull
‘Walter is partner in the Corporate team at Burness Paull.. He advises on M&A, equity investments, joint ventures and corporate restructuring projects, as well as undertaking general corporate advisory work. He leads the firm’s company secretarial advice and is a fellowship member of ICSA (The Governance Institute).

Walter offers particular experience of M&A in the financial services sector. He has worked on secondment to Standard Life in the lead up to its demutualisation, with RBS in its M&A legal team and in the General Counsel's team at Aegon.

As well as being a lawyer dual-qualified in Scots and English law, Walter has a degree in accounting and finance and is a member of the Chartered Institute for Securities & Investment, the professional body for those in the financial services industry.’
Webinar hosting presenter
Managing Director, Savendie
Sheelagh is a senior executive and qualified lawyer with over 20 years of board level experience and a successful track record of leading complex projects and transactions in FTSE 100 and 250 companies; private equity owned businesses and public sector organisations. 

Over many years as General Counsel and Company Secretary, Sheelagh has developed a thorough and practical understanding of corporate governance and the effective operation of boards.

Sheelagh has held senior executive roles within the corporate departments of Scottish Power plc; Scottish Television plc and The Miller Group Limited at times when these businesses were delivering extensive strategic and organisational change.  As a result, Sheelagh has a wide range of experience from a variety of sectors encompassing corporate strategy; business planning; risk management; in-house legal; company secretarial and governance practices.

Sheelagh is a non-executive director with IndiNature, The National Theatre of Scotland and Cricket Scotland and a course leader for the Institute of Directors delivering the Role of the Director and the Board which is part of the Chartered Director qualification. She is a corporate governance consultant with Burness Paull, solicitors.
Webinar hosting presenter
Head of Compliance at Hawksmoor Investment Management
Having spent 14 years within the Compliance & Risk Team at Brewin Dolphin in various positions, culminating in Head of Compliance, Jess subsequently joined Investec Wealth & Investment to head up the Compliance Team in 2014. She recently moved to Hawksmoor Investment Management to take on the role of Head of Compliance & Risk.
Webinar hosting presenter
Associate Director, Broadgate Search
Matt is an Associate Director at Broadgate Search, and has been recruiting Compliance, Financial Crime & Risk Professionals since 2012.

He joined Broadgate Search at inception in 2015, helping to build the Governance Desk to where it is today.

Broadgate Services the UK, Ireland, DACH, Benelux & the U.S Markets. With offices in London, Dublin, Manchester, Zug with Boston soon to be added.
Webinar hosting presenter Media Team Association
Media Manager
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