Shamsul Meah
About Shamsul Meah
Shamsul Meah serves as the Head of Compliance Monitoring at Investec, a position he has held since 2021. He has extensive experience in compliance roles, including previous positions at the Financial Conduct Authority and a Master's degree in Banking, Corporate, Finance, and Securities Law from King's College London.
Current Role in Compliance Monitoring
Shamsul Meah serves as the Head of Compliance Monitoring at Investec, a position he has held since 2021. In this role, he oversees compliance monitoring activities, ensuring that the organization adheres to regulatory requirements and internal policies. His work involves assessing compliance risks and implementing effective monitoring strategies to mitigate those risks. He is based in London, England.
Previous Experience at Investec
Before becoming the Head of Compliance Monitoring, Shamsul Meah worked at Investec as a Compliance Monitoring Officer from 2015 to 2021. During his six years in this role, he focused on monitoring compliance with financial regulations and internal standards. His experience at Investec contributed to his expertise in compliance and risk management within the financial services sector.
Experience at Financial Conduct Authority
Shamsul Meah has a background in regulatory compliance from his tenure at the Financial Conduct Authority (FCA). He worked as an Associate from 2011 to 2015, where he contributed to compliance-related projects and initiatives. Prior to that, he served as a Paralegal at the FCA from 2009 to 2011, gaining foundational knowledge in financial regulations and legal frameworks.
Education in Banking and Finance Law
Shamsul Meah earned a Master's Degree in Banking, Corporate, Finance, and Securities Law from King's College London, University of London. He completed this program from 2007 to 2008. His education provided him with a strong legal foundation in financial regulations, which supports his current role in compliance monitoring.