Fixing broken compliance and building scalable frameworks in complex, high-risk global operations.
Compliance & Risk leader with 20+ years of experience operating in complex, high-risk, cross-border environments across energy, industrial, and emerging markets.
My work focuses on situations where regulatory exposure has outpaced internal controls; requiring fast, practical, and business-aligned solutions.
I have led the design and implementation of compliance frameworks from the ground up, as well as the stabilization of existing structures under pressure; including internal investigations, regulatory response, and global remediation efforts.
Core areas include trade compliance, sanctions, KYC, and risk-based governance; always aligned with operational realities and growth objectives.
I regularly support leadership teams and Boards in navigating regulatory complexity while maintaining business continuity and strategic momentum.
I am typically engaged when compliance is not just a requirement; but a critical business risk that needs to be solved quickly and effectively.
Work Terms
Availability: Flexible for project-based work and fractional leadership roles
Engagement Types: Advisory, diagnostics, remediation projects, interim leadership
Minimum Engagement: USD 5,000 per project or USD 300/hour
Typical Scope: Short-term diagnostics (1–3 weeks), remediation (4–12 weeks), ongoing advisory
Communication: Direct and structured; regular updates with clear deliverables
Approach: Practical, execution-focused, and aligned with business needs; not theoretical consulting