UK
John is Director, Group Compliance and is responsible for regulatory compliance at 3i. He joined 3i’s in-house legal team in 1997, providing wide-ranging legal support to 3i’s investment and corporate activities worldwide until he took over responsibility for the compliance function in 2010.
Prior to joining 3i, he worked as a solicitor in private practice and remains admitted to practice as a solicitor in England and Wales.
John is also a member of the BVCA’s Regulatory Committee and has represented that Committee on the board of the Joint Money Laundering Steering Group.