James Marshall-Love has extensive experience in risk and compliance roles. James most recently served as the Head of Risk and Compliance at Homeprotect Home Insurance since September 2018. From September 2018 to December 2019, they were also the Director at Hollies Regulatory Consultancy Limited. Prior to that, they worked as a Risk and Compliance Manager at S&G Response from August 2017 to August 2018. James also served as the Compliance Manager at CURO Transatlantic Limited from November 2015 to June 2017. Before that, they worked as a Senior Compliance Specialist at Think Money Group from March 2015 to September 2015. From May 2013 to March 2015, James worked as a Regulatory Compliance Specialist at Co-operative Banking Group Limited. James has also held positions as a Compliance Consultant at The Automobile Association from September 2008 to May 2013, and as a Compliance Officer at SESAME BANKHALL SPECIALIST LENDING SERVICES LIMITED from August 2004 to September 2008.
From 1998 to 2002, James Marshall-Love attended The University of Salford, where they obtained a Bachelor's degree in Business Administration and Management, with a focus on general studies in the field.
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