Matthew Matongo
About Matthew Matongo
Matthew Matongo is a Regulatory Project Manager at Invesco EMEA in London, with over 8 years of experience in regulatory project management within the financial services industry.
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Matthew Matongo is a Regulatory Project Manager at Invesco EMEA based in London, England, United Kingdom. In this role, he leads the implementation and management of regulatory projects across the EMEA region.
Current Role at Invesco EMEA
Matthew Matongo serves as the Regulatory Project Manager at Invesco EMEA. His responsibilities include overseeing compliance with various regulatory frameworks and ensuring that the firm's processes align with evolving regulations. Given his extensive experience, he plays a crucial role in managing projects that span multiple countries within the EMEA region.
Previous Roles at Invesco EMEA
Matthew Matongo has held several key positions at Invesco EMEA. He began as a Client Services Executive from 2015 to 2016, transitioned to Client Reporting Specialist from 2016 to 2018, and served as a Senior Regulatory Client Reporting Specialist from 2018 to 2019. His progressive roles highlight a deep expertise in client reporting and services, which laid the foundation for his current regulatory project management role.
Education and Expertise
Matthew Matongo earned his degree in Economics from the London School of Economics and Political Science. His academic background provides a strong foundation for his work in the financial services industry, particularly in managing regulatory projects. With over 8 years of experience, he specializes in handling complex regulatory requirements and ensuring compliance across multiple countries.
Key Projects and Initiatives
Matthew Matongo has led significant regulatory initiatives at Invesco EMEA. Notably, he spearheaded the implementation of the new cost & charges regulation CTI. He also played a pivotal role in adapting the firm’s processes to comply with changes to Solvency II (SII) and MIFID II regulations. These projects underscore his ability to manage regulatory changes effectively within the financial industry.