Alyson Boxall
About Alyson Boxall
Alyson Boxall is the EMEA Anti Money Laundering Officer at Invesco EMEA, based in Henley-on-Thames, England, with extensive experience in anti-money laundering, client and sanction screening, and compliance frameworks.
Current Role at Invesco EMEA
Alyson Boxall currently serves as the EMEA Anti Money Laundering Officer at Invesco EMEA. She operates out of Henley-on-Thames, England. In this role, she is responsible for ensuring the company's compliance with anti-money laundering regulations, including the implementation of the 5th Money Laundering Directive (MLD). Her focus includes client and sanction screening and overseeing compliance with cross-border regulations.
Previous Roles at Invesco EMEA
Before her current position, Alyson Boxall held multiple roles at Invesco EMEA. From 2015 to 2016, she was a Technical Specialist. Prior to that, she managed the Contact Centre Team from 2013 to 2015. Her tenure at Invesco began in 2007 as a Client Services Executive, a role she held for six years. Throughout these roles, she gained a significant understanding of client onboarding and regulatory compliance within the financial sector.
Early Career at Oracle
Alyson Boxall worked at Oracle from 1996 to 1999 as an Education Services Consultant in Reading, Berkshire. This role provided her with a foundation in professional services and consultancy, which later proved valuable in her career in regulatory compliance and anti-money laundering.
Expertise in Anti-Money Laundering
Alyson Boxall brings extensive experience in anti-money laundering (AML) to her role. She specializes in the design and implementation of processes and procedures to enhance risk and compliance frameworks. Her expertise includes counter-terrorist financing, transaction monitoring, and GDPR compliance applicable to the asset management industry. Additionally, she oversees third-party administrators to ensure robust regulatory compliance and risk minimization.
Educational Background
Alyson Boxall attended Brakenhale from 1972 to 1978, where she completed her early education. This period laid the groundwork for her subsequent professional achievements in the fields of financial compliance and regulatory frameworks.