Faye Thorp

Faye Thorp

Group Regulatory Risk Director, Group Conduct Risk @ Legal & General

About Faye Thorp

Faye Thorp serves as the Group Regulatory Risk Director for Group Conduct Risk at Legal & General, a position she has held since 2016. She previously worked as Head of Conduct Risk at Legal & General Retirement and as Compliance Director at Barclays Bank.

Current Role at Legal & General

Faye Thorp serves as the Group Regulatory Risk Director, Group Conduct Risk at Legal & General. She has held this position since 2016, contributing to the company's regulatory compliance and risk management strategies. Her role involves overseeing conduct risk across the organization, ensuring adherence to regulatory standards and promoting a culture of compliance within the company.

Previous Experience at Legal & General

Prior to her current role, Faye Thorp worked at Legal & General as the Head of Conduct Risk within the Legal and General Retirement division. She held this position for one year, from 2014 to 2015, during which she focused on managing conduct risk and implementing policies to mitigate potential regulatory issues.

Experience at Barclays Bank

Faye Thorp has extensive experience in compliance, having worked as a Compliance Director at Barclays Bank from 2008 to 2014. In this role, she was responsible for ensuring that the bank adhered to regulatory requirements and maintained high standards of conduct across its operations.

Education Background

Faye Thorp studied at Nonsuch High School for Girls. This educational background laid the foundation for her career in regulatory risk and compliance, equipping her with essential skills and knowledge for her subsequent roles in the financial services industry.

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