As a Business, Risk & Compliance Advisor with over 20 years of banking experience,
including 10 years in senior credit and risk management roles within the banking industry,
I now work with SMEs and growing enterprises to identify regulatory exposure,
strengthen governance structures,
and implement practical risk and control frameworks
that protect and support sustainable growth.
My background includes credit risk assessment, compliance oversight, regulatory reporting involvement, and internal audit engagement.
Having the necessary qualifications enables me to provide structured,
independent advisory focused on fixing compliance gaps,
improving operational clarity,
and preparing businesses for stability and funding readiness.