Michelle Snaith

Michelle Snaith

Compliance Officer @ UBS

About Michelle Snaith

Michelle Snaith is a Compliance Officer at UBS Investment Bank in London, where she has worked since 2003. She has extensive experience in compliance, having previously held positions at the London Stock Exchange, Morgan Stanley, and Nomura.

Work at UBS

Michelle Snaith has served as a Compliance Officer at UBS Investment Bank since 2003. With over 21 years of experience in this role, she is based in London. Her responsibilities include ensuring that the bank adheres to regulatory requirements and internal policies. Her long tenure at UBS reflects her commitment to maintaining compliance standards within the organization.

Previous Experience in Compliance

Before joining UBS, Michelle Snaith held several compliance-related positions. She worked as a Compliance Officer at Morgan Stanley from 2000 to 2002. Prior to that, she was a Compliance Officer at Nomura from 1997 to 2000. These roles contributed to her expertise in compliance and regulatory matters within the financial services sector.

Advisory Role at London Stock Exchange

Michelle Snaith worked as a Listing Rules Advisor at the London Stock Exchange from 1994 to 1997. In this position, she provided guidance on compliance with listing regulations, which helped firms navigate the complexities of the stock market. This experience laid the foundation for her subsequent roles in compliance.

Career Timeline

Michelle Snaith's career in compliance spans several key positions in the financial industry. She began her career at the London Stock Exchange, transitioned to Nomura, and then to Morgan Stanley before joining UBS. This timeline illustrates her extensive experience and progression in the field of compliance over nearly three decades.

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