LWF
CONSULTING
Regulatory Compliance and
Financial Services Practitioners

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OUR TEAM

LWF's senior practitioners and partners combine over 40 years' experience of the Regulatory, Investment and Financial Services industries.
LWF's senior management team has extensive regulatory expertise gained at the Financial Services Authority ('FSA') and the Investment Management Regulatory Organisation ('IMRO').
LWF's senior management team's regulatory and supervisory responsibilities and expertise has covered UK, US, European and Japanese Institutional and Private Client Asset Management, Hedge Funds, Private Equity and Venture Capital, Securities and Futures and, Corporate Finance firms.
Further responsibilities included the proactive development and implementation of the FSA's regulatory and risk programmes and international regulation and compliance, specifically with the SEC in the US.
LWF's senior management team combines over 10 years of 'hands on' regulatory and compliance experience in the investment and financial services industries.
LWF's senior management team's expertise has been gained as senior regulatory and compliance professionals at major financial institutions, including Goldman Sachs (both in London and New York) and Abbey National.
The team has direct experience of Hedge Fund, Institutional and Private Client Fund Management and, Private Equity regulation and compliance.
LWF's senior management team, combine over 20 years' experience of Institutional Asset and Fund Management, Trading and Broking in the Equity and Money markets.
This expertise includes market making and proprietary trading in the international money markets, institutional segregated and pension fund management and primary and secondary broking in the UK and European equity markets.

Legal Information

LWF Consulting Limited. Incorporated in England and Wales. No. 4800402.
Registered Office: 12 Lonsdale Gardens, Tunbridge Wells, Kent TN1 1PA