Telephone: 0207 534 9870
Jonathan is the Compliance Officer of Church House Investment Management. He joined Church House in 2012.
Jonathan started out in the financial services industry in 1994, joining Henry Cooke, Lumsden plc, a private client stockbroker based in Manchester. Jonathan soon moved to the Compliance department, covering private client and institutional broking, corporate finance and investment funds. After the company was acquired by Brown Shipley in 2000, Jonathan became Compliance Officer at a small private client asset manager for three years before it was sold. He then moved to London in 2005 to join the regulatory consultancy practice at PricewaterhouseCoopers, providing guidance and assistance to a number of asset managers to enable them to meet their compliance obligations, including private equity firms, hedge funds and authorised fund managers. In 2010, Jonathan switched to the consultancy practice of KPMG, where he was involved in assisting asset managers strengthen their compliance functions and prepare for RDR.
Jonathan is a Chartered Member of the Chartered Institute of Securities and Investment.