Gary Cochrane has an extensive background in risk management and compliance within the financial sector. With experience in companies such as Hampden & Co, abrdn, Tesco Bank, Bank of Scotland Investment Service, and Intelligent Finance, Gary has held various senior management positions focusing on setting strategy, policy, and providing guidance on regulatory matters. Additionally, their work at Scottish Life International and Scottish Widows further showcases their expertise in compliance and risk management. Educated at Trinity Academy, Gary Cochrane brings a wealth of knowledge and experience to their current role as Head of Compliance at Hampden & Co.
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