Roger Stockdale
About Roger Stockdale
Roger Stockdale serves as the Risk and Controls Manager at Starling Bank, a position he has held since 2019. With extensive experience in the financial services sector, he has previously worked at HSBC and Lloyds TSB in various managerial roles.
Work at Starling Bank
Roger Stockdale has been serving as the Risk and Controls Manager at Starling Bank since 2019. In this role, he is responsible for overseeing risk management processes and ensuring compliance with regulatory standards. His tenure at Starling Bank has spanned five years, during which he has contributed to the development and implementation of risk control frameworks that support the bank's operational integrity.
Previous Experience at HSBC
Before joining Starling Bank, Roger Stockdale worked at HSBC for a total of 13 years. He held the position of Manager from 2016 to 2019, following a decade-long role as Regional Head of Policy and Framework for Operational Risk in Europe from 2009 to 2019. His experience at HSBC provided him with a comprehensive understanding of risk management in a global banking context.
Career at Lloyds TSB
Roger Stockdale's career includes significant experience at Lloyds TSB, where he worked for 23 years. He served as Senior Manager from 2000 to 2009 and held various managerial roles from 1985 to 1999. His long tenure at Lloyds TSB allowed him to develop expertise in risk management and operational governance within the financial services sector.
Education and Expertise
Roger Stockdale studied Geography at Durham University, where he earned a BA Hons degree from 1982 to 1985. He also attended Dartford Grammar School from 1974 to 1982. His educational background, combined with his extensive experience in the financial services industry, has equipped him with skills in stakeholder management and training, as well as a strong foundation in enterprise risk management and corporate governance.
Background in Financial Services
Roger Stockdale has a diverse background in the financial services industry, with roles spanning over three decades. His experience encompasses various managerial positions that have focused on risk and controls, operational risk, and policy development. This extensive background has provided him with a well-rounded perspective on the complexities of risk management in banking.