Greg Brisk is the Head of Governance at BNY Mellon Investment Management. In this role Greg has a broad range of governance responsibilities across BNY Mellon Investment Management, focused on the adoption of best practices to protect shareholder interests in both fund investor and BNY Mellon owned entities.
Greg is a board director of BNY Mellon Investment Management Europe Holdings Ltd and BNY Mellon Investment Management (APAC) Holdings Ltd (respectively the European and Asian holding companies for investment management) and he also sits on the board of a number of other group entities, including individual investment firms, funds and management companies across Europe, Asia and the USA.
From 2013 to 2015, Greg was the Global Head of Risk and Compliance for Investment Management, incorporating all of the asset management and wealth management businesses in BNY Mellon.
Between 2010 and 2012, Greg was Chief Operations Officer, BNY Mellon International Asset Management. He served as Chief Operations Officer for BNY Mellon Investment Management EMEA Ltd, the international distribution business of the group, from 2002 to 2010, and prior to that was the European Head of Risk and Compliance for the Mellon Group.
Greg has worked in the finance industry since 1982 and spent the first 17 years working in a variety of roles at the Bank of England. Prior to joining BNY Mellon in 1999, he worked at the Financial Services Authority as a banking regulator with responsibility for American banks in London.