Greg Pritchard, Chairman

A chartered accountant by profession, Greg has carried out many senior strategic roles for major international financial services companies in the areas of finance, internal audit and risk management.?His vast experience includes such diverse activities as acting as Finance Director, launching a unit trust, acting as Head of Risk for a derivatives broker and establishing a new unit linked insurance company in Belgium.

John Bull, Partner

John ran a trading floor in Rudolf Wolff prior to forming his own FSA registered commodity brokerage which went on to become the market leader in its field. He was responsible for compliance and risk management for over ten years and was involved in all aspects of strategy.?Prior to CPA John worked with a major European software house on their anti-money laundering and fraud detection programmes.

Andrew Welsh, MIFID II Implementation Coordinator

Andrew has over 35 years experience in financial and commercial roles, he is a Big 4 qualified graduate chartered accountant with a wealth of financial markets experience, at control and director level, at a number of well-known Investment Banks and brokerages. Andrew has operational experience of risk, compliance and financial matters in the financial services industry over a broad range financial instruments including equities, bonds and derivatives. He has held a number of board-level appointments over the past thirty years including Laing & Cruickshank, Canaccord Genuity UK Ltd, ABG Sundal Collier Ltd, ODL Securities (now FXCM), Plus500UK Ltd and Caxton FX.


Yaryna Petrushko, Senior Associate

Yaryna started her professional career in retail banking in Ukraine. While working for ProCredit Bank, a subsidiary of the German-based parent company, Yaryna initially was responsible for providing legal advice on credit activity, deposit taking and retail operations. After her transition to a secretarial role in Compliance and Corporate Governance in 2016, Yaryna became responsible for establishing and performing all aspects of the compliance function along with ensuring smooth running of Corporate Governance processes. Yaryna holds multiple CISI’s qualifications and a PhD in economics specialising in the safety of credit operations.