The International Stock Exchange has appointed Nick Bayley as a Non-Executive Director of its regulatory arm, The International Stock Exchange Authority.
Nick has more than 30 years’ experience working in the financial services industry, in professional services, with regulators and exchanges.
He currently serves as a Managing Director within Kroll’s financial services compliance and regulation practice, specialising in wholesale markets.
Prior to joining Kroll in 2016, Nick was Head of Department, Markets Policy and International Division, at the Financial Conduct Authority (FCA).
As the FCA’s Senior Markets Adviser, he was responsible for leading the policy projects to implement the second iteration of the Markets in Financial Instruments Directive (MiFID II) and the Market Abuse Regulation.
His previous roles include Head of Regulation and Head of Trading Services at the London Stock Exchange (LSE), where he had overall responsibility for the regulation and oversight of all the LSE’s markets and for its relationship with other regulatory and law enforcement bodies.