Liam Carroll is a seasoned professional with extensive experience in regulatory compliance and risk management in the financial services industry. Currently serving as the Conduct Risk Analysis Manager at the Central Bank of Ireland since January 2021, Liam oversees risk identification and assessment processes within the Securities and Markets Supervision Directorate. Prior roles include positions at Davy as a Compliance Manager, the Financial Conduct Authority as a Senior Associate in Market Oversight, and various roles in corporate finance and tax accounting at Delaney Locke & Thorpe, GlaxoSmithKline, KPMG, and Fidelity Investments. Liam holds multiple qualifications, including a Diploma in Corporate Finance from Chartered Accountants Ireland and an AITI Chartered Tax Advisor designation from the Irish Taxation Institute.
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