Collas Crill has appointed Sandy Salter as Group Head of Compliance, based in the firm's Guernsey office. She will be responsible for the compliance function across Collas Crill's seven offices.
Sandy brings with her more than 18 years’ experience in regulatory compliance within multi-jurisdictional financial services and advisory businesses, relocating to Guernsey from the British Virgins Islands.
She joins from Baker Tilly (BVI), where she spent more than five years leading the compliance function for a group of affiliated entities, including two trust and corporate services licensees and other regulated entities. She also gave regulatory advice and oversight to staff at Baker Tilly Cayman.
During her time in the BVI, Sandy was appointed as designated representative under the Virgin Islands Insurance Act, and she also worked for Appleby and Amicorp.
Prior to this, Sandy worked in London as a compliance consultant for banking and financial adviser clients. She is a professional member of the International Compliance Association and the Chartered Insurance Institute.