Enola Reid

Head of Group Compliance

Enola joined Stuarts as Head of Group Compliance in 2019.

Enola is a recognised Compliance professional in the Finance Industry, with over 18 years experience. Enola’s expertise is diverse, having held senior positions in Multinational Corporations. These roles consisted of Anti Money Laundering Compliance Officer and Money Laundering Reporting Officer, Risk Manager as well as managing large scale compliance projects. She specializes in Corporate Governance and Internal Controls having acted as Director for an Internationally regulated Bank and Trust company and its Nominee companies.  Prior to Joining Stuarts she managed a Corporate Services business with a growing portfolio, as well providing AML Services offerings to Mutual Funds and Investment Managers.

Enola's responsibilities include monitoring adherence to the Group's compliance policies and procedures with particular regard to compliance with the rules and regulations of the local regulatory agencies applicable to the various lines of business, and providing guidance and advice to senior management on matters relating to compliance and corporate governance.

Professional Associations/Memberships

  • Institute of Chartered Secretaries and Administrators (ICSA) – Accredited Director
  • Notary Public

Education

  • Bar Vocational Course- Inns of Court School of Law, UK 2002
  • LLM, International Economic Law - University of Liverpool, UK 2000
  • LLB - University of Liverpool, GCM 1999