Business Analyst, Risk Management and Compliance Training
John Madin with over twenty years experience in retail financial services specialises in business analysis and regulatory compliance with an emphasis on helping develop business models to maintain and improve quality of service and the efficient and effective use of people, processes and products including the delivery of training to stakeholders.
John has undertaken engagements for banks, insurance companies and the independent sector covering a diverse range of work from assessing training and competency, delivering technical training on behalf of a professional body to working within a specialised project team scoped to effect a FSMA Part V11 business transfer and transfer of services to a third party. He is a former PricewaterhouseCoopers regulatory consultant.
John focuses on developing robust solutions to business requirements in a timely manner working within the appropriate framework be it PRINCE2, ITIL, ISEB or Six Sigma ensuring that the stakeholders are kept informed during each stage of the project.
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