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Malcolm Biggart Aca Fcsi

Compliance And Risk Director at BrightFi

Malcolm Biggart has a comprehensive work experience in various roles and industries. Malcolm started their career at Deloitte in 1988 as a Manager and worked there until 1992. After that, they joined Haines Watts Insolvency Services as a Senior Consultant for a year. From 1993 to 2001, they worked at FSA (IMRO) as a Manager in Supervision. In 2001, they became the Global Chief Compliance Officer at Gartmore Investment Management PLC, a role they held until 2008. Following that, they worked as a Compliance Consultant in a consulting firm for the year 2008. From 2009 to 2011, they served as the Director of Regulatory Consulting at Kinetic Partners LLP. Finally, they joined Octopus Investments in 2011 as the Compliance and Risk Director.

Malcolm Biggart received their Bachelor's Degree in Economics and Accounting from Lancaster University, from 1983 to 1986. Prior to that, they attended Davenant Grammar School, where they achieved 11 GCSEs and completed their A Levels in Economics, Physics, and Maths.

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