Mark is a Risk and Compliance professional, experienced both in insurance as well as treasury combining a thorough understanding of insurance, risk, compliance, treasury, and accounting. As an independent consultant Mark works with both financial industry as well as corporate clients to support in risk modelling, financing and regulatory compliance challenges.



  • Alternative Risk Finance: Captive Insurance, Cell Companies, Parametric Insurance
  • Risk Quantification and Scenario Analysis
  • Regulatory Compliance including EMIR, Solvency II. IFRS 16 and 17, CRD, Corep as well as AML directives
  • Risk Management Processes and Governance