Camille is the Chief Compliance Officer holding the CF10 (Compliance Oversight) controlled function for all of Aviva Investors UK regulated entities, with overall responsibility for compliance affairs in the UK and oversight of local compliance functions on a Global basis. Camille is Chair of the Brexit Committee of the Investment Association.
Camille joins Aviva Investors from the Central Bank of Ireland, where she was a Deputy Head – Policy and Risk. Between January 2014 and December 2015, she was Principal Advisor to the Australian Government Treasury providing expert advice and support for the Australian Financial System Inquiry and Capability Review of the Australian Securities and Investment Commission. Prior to this, Camille has held positions including; Global Head of Compliance for a large Australian Institutional Bank; APAC Compliance Head for a large Money Services and Cards business and was the Senior Executive Leader – Investment Banks for The Australian Securities and Investment Commission over the Global financial crisis.
Camille’s qualifications include BEcLLB, Grad Dip Legal Practice and MCom (Professional Accounting). Camille is a MIoD and is currently completing a Master of Laws at the LSE.