Steven has provided compliance and risk management services to Redpoint since inception. Steven has extensive finance industry experience over 30 years and has previously headed the compliance and risk management functions for several large multi-national asset managers. He has held Board positions at one of Australia’s leading asset management companies, chairs Compliance Committees for leading asset managers and continues to be a Responsible Manager for a number of asset management companies. Steven remains a director of an asset manager, accounting firm and a Health Promotion Charity.
Steven holds a RG146 qualifications in Securities, Managed Investments and Superannuation, a Bachelor of Business, he is a CPA and is an Associate of the Australasian Compliance Institute.