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Daily Insurance Industry News
Thursday 22nd of February 2018
October 10, 2012

L&G Investment Management appoints chief compliance officer

by Gill Montia

Story link: L&G Investment Management appoints chief compliance officer

Legal & General Investment Management has appointed Teresa Poy as chief compliance officer, reporting to Paul Sweeney, head of legal and regulatory affairs.

Ms Poy joins from TT International where she was head of compliance for Europe and North America.

Prior to this she worked for Barclays Global Investors, where she was deputy head of compliance for EMEA, having also held senior roles at UK regulators including the Financial Services Authority.

 

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