Bram Cripps Email & Phone Number
@omnisinvestments.com
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Who is Bram Cripps? Overview
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Bram Cripps is listed as Head of Risk and Compliance at Lloyds Wealth, based in Greater London, England, United Kingdom. AeroLeads shows a work email signal at omnisinvestments.com and a matched LinkedIn profile for Bram Cripps.
Bram Cripps previously worked as Head of Risk and Compliance at Schroders Personal Wealth and Head of Risk and Compliance at Omnis Investments Limited. Bram Cripps studied at Newport Grammar School, Newport, Essex, United Kingdom.
Email format at Lloyds Wealth
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AeroLeads found 1 current-domain work email signal for Bram Cripps. Compare company email patterns before reaching out.
About Bram Cripps
An Investments Compliance and Risk Management specialist with close to 30 years’ regulatory experience gained at high quality, diverse financial services firms. Key achievements and expertise:- A long-term track record of implementing and managing compliance and risk management frameworks in UK and International businesses.- A broad knowledge of European regulated activities including:
Listed skills include Risk Management, Governance, Financial Services, Compliance And Regulation, and 19 others.
Bram Cripps's current company
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Bram Cripps work experience
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Head Of Risk And Compliance
Schroders Personal Wealth provides personal financial advice and investment products (and services) to clients in the United Kingdom. It benefits from 400 years of combined experience in investment management and banking offered by our two shareholders, Lloyds Banking Group and Schroders.The Schroders Personal Wealth ACD business provides a range of collective investment schemes in support of the objectives and needs of our advisory clients. The company is authorised and regulated by the Financial Conduct Authority.
Head Of Risk And Compliance
Omnis is part of the Openwork Group and offers a range of UK (UCITs) funds and related discretionary management services to the Group's customers. Omnis is developing a full and broad range of funds covering all asset classes: working closely with selected third party asset management firms and other investment specialists.
Role listed
- Completed a major restoration project of ancient woods/parkland and a Victorian water cascade (at home).- Stayed close to regulatory developments and activity, particularly in relation to the asset management industry. - Established Gilston Consulting Limited; to offer specialist compliance/operational risk management support to clients (open to interim positions).
Chief Risk And Compliance Officer - Europe
Mercer employs over 20,000 people globally and provides a diverse range of investment and other consulting services to corporate, institutional and retail clients.Influence and Strategy- Managed Mercer’s transition from a provider of primarily unregulated, actuarial-led services to one where regulated services represented a significant part of the regional business. - Brought about an enhanced risk-based business culture: balancing the need for innovation and creativity with the firm’s regulatory and risk management responsibilities. - Re-engineered the governance structures to ensure an efficient and effective approach to business oversight - reflecting both jurisdictional and business line (matrix) responsibilities. - Established Mercer’s highly-successful European asset management business. - Delivered a number of key acquisitions across the region.- Enhanced the level of interaction and collaboration with other MMC companies to better serve common clients.- Optimised processes to enhance the initial engagement and ongoing interaction with clients. Leadership- Provided regulatory and risk management oversight, guidance and advice for 11 European markets (5,000 personnel), from which Mercer serviced clients in 60 countries. - Led a team of 24 compliance and risk management professionals.- Managed the implementation of a Code of Conduct/Ethics across the region to embed a culture of personal responsibility and reduce conduct risk.- Built strong, proactive and supportive relationships with stakeholders at all levels.Regulation- Developed strong relationships with regulators, leading to a reduced regulatory risk profile for the firm - Through the implementation of a strengthened ERM framework, including a revised risk approval process and enhanced reporting, achieved a significant reduction in regulatory capital. - Executed a range of initiatives designed to enhance awareness, controls and reporting in relation to data protection issues.
Compliance Director - European Products
One of the largest global asset management firms providing investment services and products to institutional and retail clients across Europe. Influence and Strategy- Guided the asset management business through significant operational, cultural and regulatory changed as it transformed into JPMorgan Chase (through acquisition). - Supported the development of a range of new investment products: across asset classes, investment techniques and domiciles.- Supervised the distribution and marketing of products and investment services to retail and professional/institutional clients. - Implemented enhanced but streamlined governance processes as the complexity of the business increased; building close partnerships with the leadership and providing regulatory guidance and advice to the mutual fund and regulated entity Boards. Leadership- Led the European Products Compliance team, which oversaw JPM’s European investment product business. - Provided extensive product, client and regulatory guidance to ensure compliance with regulation across multiple jurisdictions: from an operational/conduct of business perspective, in jurisdictions where JPM operated funds and from a marketing and distribution perspective, based on the client’s location. - Supervised a team of 12, based in a number of countries.Regulation- Implemented a number of significant EU regulatory changes (primarily MiFID and UCITs) relating to product structures and to the conduct of JPM’s business in Europe. These changes also included the need for JPM to adopt a risk-based regulatory capital model. - Acted as the registered Compliance Officer for seven of the regulated firms operated by JPM in the UK, including the mutual fund and insurance firms. - Ensured that strong and effective relationships were maintained with regulators across Europe during a period of intense regulatory scrutiny.
Assistant Team Manager
- Provided specialist, asset management related guidance to the IMRO Supervision Division. - Supervised a group of subject matter experts that monitored large asset management firms and mutual fund providers in the UK. - Designed and implemented enhanced review protocols for use in the supervision of asset management firms.
Compliance Officer
SIB was the statutory regulator in the United Kingdom. I worked in SIBRO, the direct regulation division of SIB. As a Compliance Officer my role was to:- Supervise the financial services operations of a number of the largest UK banks and building societies.- Assist in the transition of SIB’s directly regulated firms to other regulatory bodies following the re-drawing of the UK regulatory structure.As part of the regulatory transformation and recognising my specialist asset management expertise, I was asked to transfer to IMRO.
Head Of Mutual Fund Operations
This was a large UK asset management firm providing services to institutional and retail clients. - Led the Mutual Fund Operations Team for a highly successful UK mutual fund and investment trust provider.- Supported the business through three acquisitions (by US, French and UK firms).- Supervised a group of over 50 people.
Bram Cripps education
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Newport Grammar School, Newport, Essex, United Kingdom
Frequently asked questions about Bram Cripps
Quick answers generated from the profile data available on this page.
What company does Bram Cripps work for?
Bram Cripps works for Lloyds Wealth.
What is Bram Cripps's role at Lloyds Wealth?
Bram Cripps is listed as Head of Risk and Compliance at Lloyds Wealth.
What is Bram Cripps's email address?
AeroLeads has found 1 work email signal at @omnisinvestments.com for Bram Cripps at Lloyds Wealth.
Where is Bram Cripps based?
Bram Cripps is based in Greater London, England, United Kingdom while working with Lloyds Wealth.
What companies has Bram Cripps worked for?
Bram Cripps has worked for Lloyds Wealth, Schroders Personal Wealth, Omnis Investments Limited, Career Break, and Mercer.
How can I contact Bram Cripps?
You can use AeroLeads to view verified contact signals for Bram Cripps at Lloyds Wealth, including work email, phone, and LinkedIn data when available.
What schools did Bram Cripps attend?
Bram Cripps studied at Newport Grammar School, Newport, Essex, United Kingdom.
What skills is Bram Cripps known for?
Bram Cripps is listed with skills including Risk Management, Governance, Financial Services, Compliance And Regulation, Operational Risk Management, Asset Management, Process Improvement, and Enterprise Risk Management.
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