Kevin Bonner is an Irish resident with over 16 years’ experience in the financial services industry and has been the Compliance Officer for MJ Hudson Bridge since its establishment in 2015.
Since joining MJ Hudson Bridge in September 2015, Kevin has acted as a Consultant and Designated Person (PCF-39) to a number of Irish domiciled self-managed UCITS funds, UCITS management companies and AIFMs. During his time with MJ Hudson Bridge, Kevin has specialised in compliance, and has acted as the designated person with responsibility for the regulatory compliance management function.
Kevin has led the development and implementation of the UCITS IV compliance frameworks and compliance monitoring plans. He has also been key in developing the governance framework for compliance which Bridge has worked through with each if its clients.
During his time with MJ Hudson Bridge, Kevin has undertaken a number of compliance based consultancy projects, which included designing and implementing a compliance framework for a newly authorised Irish UCITS management company. He has also provided compliance assistance in an authorised fund administration business as part of a secondment arrangement.
Kevin joined MJ Hudson Bridge from Credit Suisse International where he worked with their trustee function. Prior to this he held a number of positions with Invesco Global Asset Management Limited and with RBS Fund Services (Ireland) Ltd., an independent UCITS management company where he worked in the operations team responsible for the supervision and oversight of a variety of service providers contracted to funds managed by the company.
Kevin holds a Degree in Business from Dublin City University and also holds a Licentiateship in Compliance from the ACOI.
Kevin is a member of the BFML Investment, Risk and Compliance Committee.