

Edward has 10 years' experience as a financial services lawyer, both as in-house counsel on the legal and compliance teams at US stockbroker, PaineWebber, and at Laing & Cruickshank (subsequently UBS Wealth Management UK Limited) and, more recently, in private practice, on the Financials Services Team at Speechly Bircham, and at the Financial Institutions Group at Lovells . He was called to the Bar in 1999, and qualified as a Solicitor at Speechly Bircham. He is General Counsel at Vestra Wealth.

Prior to joining Vestra Wealth, Siobhan was at Goldman Sachs for 13 years, the last 5 of which she was the London Head of Compliance for the Private Wealth Management division. She has 9 years of experience looking after retail clients, and holds an LLB. She has worked in the compliance sector for more than 16 years and is currently Compliance Officer for Vestra Wealth.

Prior to joining Vestra Wealth Robert worked at ABN AMRO Bank NV in their Private Clients division in numerous business support and middle office roles and the last six years in Compliance. Robert completed his Associate Chartered Institute of Bankers in 2002 and holds the SII Compliance Diploma and the ICA Diploma in Anti Money Laundering. Robert has worked in the Financial Services Industry for over 18 years.