John Monaghan

John is a Principal Consultant with over 25 years of experience working in the Financial Services industry in North America, South America, Europe and Africa. John has been involved in and managed most of the significant regulatory compliance initiatives including Basel II; Dodd-Frank; EMIR; MIFID II; FRTB; LIBOR transition and CFTC Swap Dealer and SBSD Rules. John worked at Royal Bank of Canada where he managed strategic initiatives which required cross-functional and multi-region coordination. Prior to RBC, he was at Morgan Stanley where he was Head of Operational Risk for Trading and Sales in the Americas. Prior to that, he spent 11 years at Barclays in increasingly senior roles. He managed the build out of a Front Office Risk and Supervisory Control function, Program Managed a multi-year program of work tasked with building out a new OTC Client Clearing business to align with the market structure changes imposed by Dodd-Frank and EMIR. Prior to Barclays, he was employed by Accenture as a management consultant. John has a B. Com degree in Law and Economics, an MSc in Finance and an MBA.