David is Head of Risk and Compliance, Europe for the Maples group. He joined the Maples group in 2012 and in his current role has responsibility for the Dublin, London, Luxembourg and Netherlands offices. David has over 15 years' experience in financial services and regulatory compliance working in both industry and in practice.
Prior to joining the Maples group, David was the EMEA Head of Compliance and Money Laundering Reporting Officer for a NYSE listed broker dealer and the operator of Ireland's first dark pool multilateral trading facility. Before that he worked for a large Irish financial services law firm and also as a compliance officer and assistant company secretary with Ireland's longest established stockbroking firm.
The Honorable Society of King's Inns, Advanced Diploma in Corporate, White-Collar and Regulatory Crime, 2014
Institute of Bankers / University College Dublin, Professional Certificate in Compliance, 2010
Nottingham Trent University, LLB in Irish Law, 2004
Professional / Civic Activities
David is a professional member of the International Compliance Association and a member of the Association of Compliance Officers in Ireland where he authored the final module of the Association’s Professional Diploma in Compliance.
Our clients benefit from experienced professionals in key international financial centres.