Collas Crill has appointed Sandy Salter as the firm's Group Head of Compliance.
Based in the firm's Guernsey office, Sandy brings with her more than 18 years’ experience in regulatory compliance acquired from varied roles within multi-disciplinary and multi-jurisdictional financial services and advisory businesses.
Sandy will be responsible for leading the compliance function across Collas Crill's seven offices.
Having relocated to Guernsey from the British Virgins Islands, Sandy joins the firm from Baker Tilly (BVI) Limited where she headed-up the compliance function for a group of affiliated entities including two trust and corporate services licensees and other regulated entities, as well as providing regulatory advice and oversight to staff in Baker Tilly Cayman.
During her time there, Sandy was also appointed as designated representative under the Virgin Islands Insurance Act.
Prior to this, Sandy worked in London where she operated as a compliance consultant for numerous banking and financial adviser clients. She is a professional member of the International Compliance Association (ICA) and the Chartered Insurance Institute (CII).
Jason Romer, Group Managing Partner, said: "It's great to have Sandy join our firm. She has a great deal of experience within the offshore regulatory environment and will be essential in continuing to lead a robust compliance framework across our offices as we operate to the highest standards of regulation."