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About Camille Blackburn
https://www.fca.org.uk/
Camille Blackburn brings regulatory experience from the private and public sectors. She joins us from Legal & General Investment Management where she was Chief Compliance Officer and was responsible for the company’s global compliance framework and team. Before that she was Chief Compliance Officer at Aviva Investors and was Chair of the Investment Association's Brexit Committee. She has held international chief compliance officer roles in investment banking and money services businesses.
She was a Principal Advisor to the Australian Treasury on the 2014 Australian Financial System Inquiry and the 2016 Capability Review of the Australian Securities and Investments Commission. During the financial crisis she was the Head of Investment Banking at the Australian Securities and Investments Commission.
Camille Blackburn is the FCA's Director of Wholesale Buy Side, responsible for policy, supervision and market analysis of asset management and related services. She has 20 years of experience in financial services regulation having previously held senior regulatory roles for the Central Bank of Ireland and Australian Treasury. Camille was the Leader of the Investment Banking Division of Australia's ASIC over the financial crisis of 2008. She holds a Master of Laws from the LSE and Master of Commerce from the UNSW.