In January 2013, Greg became the Global Head of Risk and Compliance Investment Management, an independent control function responsible for all aspects of risk (including regulatory) across all of the asset management and wealth management businesses in BNY Mellon. He is a board director of BNY Mellon International Asset Management Group Ltd and AM APAC (the European and Asian holding companies for investment management) and also sits on the board of a number of other group entities, including UK-regulated BNY Mellon Fund Managers Ltd, Irish-regulated BNY Mellon Global Management Ltd and their associated fund boards.
From April 2010-2012, Greg was responsible for the regional governance and oversight of BNY Mellon’s Asset Management business outside the US as Chief Operations Officer, International Asset Management. Prior to 2012 he was Chief Operations Officer for BNY Mellon Asset Management International, the international distribution business of the group. Before taking on that role in 2002, he was the European Head of Risk and Compliance for the Mellon Group.
Before joining BNY Mellon in 1999, he worked at the Financial Services Authority as a banking regulator with responsibility for American banks in London. Greg spent his first 17 years working in a variety of roles at the Bank of England.