Hena is a Compliance professional from the UK, with more than 15 years of Regulatory & Compliance experience primarily in the fund and investment management space. In London, Hena worked for several FCA regulated firms including CQS, F&C Asset Management, Aviva Investors, Amundi Asset Management, and the Bank of New York Mellon.
Heading up Re/think’s outsourced compliance officers’ team, Hena has not only demonstrated exceptional leadership but has also been instrumental in ensuring high quality client service delivery. Her strategic vision and attention to detail have propelled the firm’s compliance efforts to new heights. Moreover, Hena’s passion for excellence and unwavering dedication have inspired those around her, fostering a culture of continuous improvement and achievement.
Hena holds the following qualifications from the UK: LLB Honours Law, Postgraduate Diploma in Legal Practice, CISI Diploma in Investment Compliance, and MSc Financial Regulation & Compliance Management. She is also a is a Member (MCSI) of the Chartered Institute for Securities and Investments, UK.