Ben Mason - Founder
Ben is a compliance professional, regulatory entrepreneur and the founder of My Compliance Centre.
Prior to founding My Compliance Centre, Ben was the CEO of one of the UK's leading compliance consultancies that supported over 2000 financial institutions manage their compliance obligations and where he oversaw a number of award winning RegTech innovations.
My Compliance Centre was formed when Ben identified a market need so compelling that he needed to do something about it – namely the automaton of compliance management.
Sunil is our newly appointed CEO and is responsible for developing and implementing the strategy and building key stakeholder engagement. Sunil manages the daily operational activity and leads the strategic vision of My Compliance Centre.
A Chartered Engineer with an unrivalled record in building and taking to market world class RegTech at leading companies in both New York and London. Sunil supports My Compliance Centre’s vision for the future of the compliance industry as a strategic enabler of modern financial services.
Jenny is our Head of Customer Engagement, with responsibility for our technology development team and the overall client experience. She brings more than 13 years' compliance consultancy experience to the role and has been involved with the development of My Compliance Centre from the very start.
Julian is our Chief Technology Officer and he is responsible for technology, systems development and infrastructure management. Julian has worked for 25 years in technology through the Engineering, Architecture and Technology leadership groups of a global bank and most recently working in a small partnership as a technology strategy and management consultant.
Shirley is our Senior Marketing Manager, with responsibility for leading and scaling the marketing strategy at My Compliance Centre, driving multi-channel revenue lead generation & growth management. Shirley has over 20 years’ B2B, product marketing, digital marketing, brand strategy and communications experience across the Fintech, SaaS, financial services, insurance and digital payments sectors.
Indra is the chief architect and lead programmer for the My Compliance Centre software development project. Before joining My Compliance Centre, Indranil taught at the post-graduate level for a decade before co-founding an IT startup and then moving on to doing independent consulting in the fields of Cloud Technology, Data Sciences and Bespoke Web Application development.
Ian is Senior Business Analyst bridging the gap between our compliance specialists, UI/UX designers and the Product Development team. He brings with him more than 30 years’ experience delivering investment management and compliance systems.
As Systems Analyst, Eric ensures that system developments and improvements enhance the client experience. After graduating with a Masters Degree in Risk Management and Financial Engineering and a Masters Degree in Theoretical Physics, he worked in a compliance consultancy before joining My Compliance Centre.
Ajanta is a system development project manager with over 20 years experience managing IT teams and providing leadership to companies in CXO roles. Before joining My Compliance Centre, Ajanta co-founded a startup and established it in business over a period of close to two decades.
June is our Chief Financial Officer. An MBA and CIMA qualified accountant, June is a career finance professional having worked for the last 25 years in senior accounting and internal audit roles for General Motors and Peugeot Citroen Group. June’s career has included spells as CFO, in pricing, managing the general Ledger for Vauxhall Motors and in forensic accounting.
There's a better way
Modernise your compliance management with a single, shared and integrated cloud-based solution. Specifically designed for firms that offer regulated financial services and in sectors that include Asset Management, Banking, Capital Markets, Consumer Credit, Corporate Finance, Fintech, Insurance, Investment Management, Payment Services, Private Equity, Venture Capital and Wealth Management.
Complete transparency and visibility of your compliance management, enhancing the ways in which you think about, identify, and manage your regulatory risk.
Evidences your compliance
My Compliance Centre offers a complete audit trail so that you can easily evidence your compliance to your board and, if they were to ask, the regulators.
Get a bird's eye view or drill down into the detail. With this information at your fingertips, you can be confident that you are on top of everything.
Reduces compliance risk
Ensures your compliance framework keeps pace with regulatory developments. Gives you visibility of all scheduled and ad-hoc tasks and remedial activities.
Single source of truth
One integrated platform so you can be sure to find the information you need, when you need it, without any fuss or version control confusion.