Huw is responsible for clients and also acts as the firm’s Money Laundering Reporting Officer.
Huw has spent over twenty one years in the offshore financial services industry; in addition to substantial fiduciary experience he has also held other roles, including developing trust and family office services, acting as a director of an investment monitoring and strategic asset allocation company and serving as the legal and compliance officer of an investment management company. Huw is also a non-executive director of various investment funds (both listed and unlisted).
- Master’s Degree in International and Commercial Law
- Member of the Chartered Institute of Securities and Investment