Scott is an esteemed professional with a wealth of experience and expertise in governance, risk, and compliance assurance within the financial sector. With over 30 years of dedicated service, Scott serves in various senior roles such as Independent non-executive Chairman, Group Risk and Compliance Director, and MLRO. In these roles, Scott oversees governance, risk, and compliance functions across audit and accountancy, consulting, financial services, insurance, legal, and retirement solutions sectors for several regulated or registered businesses in the Isle of Man and Internationally. His background as a former regulator with the Isle of Man Financial Services Authority lends invaluable insight, ensuring regulatory requirements are meticulously applied. Scott’s commitment to excellence is evident in his pursuit of knowledge through continuous study and, more recently, being recognised with FinTech Awards in 2022 and 2023 for Anti-money laundering advisor of the year. Scott brings a strategic blend of leadership and proficiency to his roles, driving risk and compliance initiatives with precision and foresight.

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