Tony Munro

Tony Munro

Global Head Reg Equities COO @ HSBC

About Tony Munro

Tony Munro serves as the Global Head of Regulatory Equities COO at HSBC, a position he has held since 2021. He has extensive experience in regulatory change and business management, having previously worked at RBS, MThree Consulting, and UBS Investment Bank.

Current Role at HSBC

Tony Munro serves as the Global Head of Regulatory Equities COO at HSBC. He has held this position since 2021, overseeing the regulatory operations within the equities division. His role involves managing compliance and ensuring that the business adheres to regulatory requirements in a dynamic financial environment.

Previous Experience at HSBC

Prior to his current role, Tony Munro worked at HSBC as the Regulatory Change Portfolio Manager for Equities Business Management from 2017 to 2021. In this capacity, he was responsible for implementing regulatory changes and managing the associated impacts on the equities business, contributing to the firm's compliance strategy.

Experience at RBS and MThree Consulting

Tony Munro worked as a Regulatory Change Consultant at RBS from 2014 to 2016, focusing on EU Benchmarks and the Volcker Rule. Following this, he briefly served as a Senior Business Analyst at MThree Consulting for two months in 2016, where he provided consultancy services in the financial sector.

Career at UBS Investment Bank

Before his tenure at RBS, Tony Munro was a Director at UBS Investment Bank from 2011 to 2014. In this role, he contributed to various initiatives within the bank, leveraging his expertise in financial services and regulatory compliance.

Education and Expertise

Tony Munro studied Banking and Finance at Queensland University of Technology, where he earned a Bachelor of Business degree. His educational background provides a solid foundation for his extensive career in financial services and regulatory management.

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