Glen M.

Head of Compliance at Beyond Bank Australia

Perth, Western Australia, Australia

Overview

Glen M. is the Head of Compliance at Beyond Bank Australia, specializing in regulatory and operational risk within financial services. A Chartered Accountant and graduate of Newcastle University, his career includes senior compliance and risk roles at BNY Mellon, Societe Generale, HSBC, and Goldman Sachs.

He is a certified Chartered Accountant, bringing a strong financial assurance and auditing perspective to his compliance and risk management roles.

Topics They Care About

Financial Regulation
His entire career is built on expertise in financial regulations, holding senior compliance and client asset protection roles at multiple global investment banks.
Operational Risk
A key skill demonstrated in his headline and through specific operational risk management and assurance roles at HSBC and Societe Generale.
Investment Banking
Has extensive experience within the investment banking sector from his time at major firms like Goldman Sachs, HSBC, and BNY Mellon.

Media Appearances

Glen has no verified media appearances

Work History

8-2025
Head of Compliance at Beyond Bank Australia
5-2021 - 4-2023
Compliance Director at BNY Mellon
2019 - 2021
Head of Client Assets Business Management at Societe Generale
2016 - 2019
Senior Manager - CASS Assurance at HSBC
2015 - 2016
VP - Client Assets Global Control at Goldman Sachs

Education

Bachelor of Arts - BA from Newcastle University

More Information

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Exp : 14 Location : Perth, Western Australia, Australia Job Level : Mid-senior Designation : Head of Compliance at Beyond Bank Australia
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