14 Oct PMA Compliance Consultants
Paul Andrews (Proprietor) holding “CII Diploma in Financial Planning” to include J07 Supervision in a Regulated Environment / CeMAP / ER1 Equity Release / CF8 Long Term Care / R01 & R02 (Full FPC 1,2 &3) – Sole Trader specialising in all aspects of training and competence including supervision, KPI, firm MI, recruitment procedures in addition to advising on corporate governance and business formation. Over 35 years experience within the financial services profession mainly within the independent sector at Director (CF10) level.
Address
Services Offered
- Authorisation -FCA
- Complaints Handling Reviews
- Compliance advice
- Compliance Support
- Compliance Training
- Due Diligence
- Health Checks
- Money Laundering/Financial Crime Advice and Reviews
- Regulatory Updates
Firms Served
- Discretionary fund managers
- Insurance Brokers - Pure Protection Products
- Mortgage Brokers
- Mortgage Lenders/Administrators
- Pension Scheme Operator/Provider
- Private Client investment management