Chief Compliance Officer
Prior to joining Chenavari, Jackie was the Group Chief Compliance Officer at Twelve Capital, responsible for Group compliance and all regulatory matters across Switzerland, Germany and the United Kingdom with a focus on cross border distribution, corporate governance and systems and controls. She was also the local Legal Counsel, Company Secretary and MLRO for the United Kingdom entity. She has also held similar roles at Symmetry Investments and Clive Capital LLP. At Clive Capital LLP, Jackie was responsible for all aspects of legal and compliance covering Europe, Cayman Islands and the US. She also had oversight of all legal work for the firm including leases, contracts, intellectual property, insurance and employment.
Prior to this, she worked at Banquo Credit Management LLP and Lend Lease Europe Limited in similar stand-alone roles. She commenced her career at the Law Society (now the SRA), the regulatory body for solicitors in England & Wales and thereafter joined the Investment Management Regulatory Organisation (IMRO) which became the Financial Services Authority (now the FCA). Jackie holds an LLB (Hons) from the University of Lancaster and an LLM from the LSE. She is also admitted as a Solicitor in England and Wales.