Andrew is the Head of Compliance for Falcon Investment Management, and has over 14 years experience in senior regulatory and compliance roles of various financial services organisations in the UK and Asia Pacific. Prior to starting at Falcon, Andrew was the Head of Risk and Compliance for London-based fintech Canopy where he drove the risk and compliance strategy for the firm, and prior to Canopy he worked at leading multinational Willis Towers Watson, both in Asia Pacific and the UK, where he became FCA registered SMF16 for the securities entity at the firm. Andrew has most recently completed the Diploma in Investment Compliance at the Chartered Institute for Securities and Investments (CISI) in the UK.