Matthew is Minerva's Head of Compliance and Risk.
Matthew has over 24 years experience in the financial services industry in Jersey. He started his career with The Royal Bank of Scotland International (in 1987) where he undertook various roles including Group Money Laundering Reporting Officer (MLRO).
In 2006 he moved to Close Offshore as Compliance Director where he was responsible for establishing the operational risk department across all business activities and jurisdictions. His final role before moving to Minerva was Managing Director of Close International Asset Management Limited.