Martin Myers

Compliance Manager

I commenced the role of Compliance Manager at Whiteoak in 2017 to support and develop Whiteoak’s compliance and custody functions to meets its regulatory and fund management obligations.

Prior to working with Whiteoak, I held Compliance Manager and Vice President roles in the legal and compliance departments spanning three global investments banks, before joining a boutique investment manager to establish and manage that business’s dealing support, operations and compliance functions.

I hold a Bachelor of Financial Administration from the University of New England, am a qualified CPA, and have completed post graduate studies in financial markets, financial services law and business administration. 

Contact Me

someone@whiteoak.com

+44 012 234 567