Adam Royce, APCC.
Adam Royce (Compliance) has been in the financial services industry since 1990 and has previously worked for life companies, IFAs, employee benefits consultants and stockbrokers.
In addition Adam has held the Compliance Oversight function for a number of companies for more than 10 years and has demonstrated his knowledge and skill in constructing robust compliance structures for businesses both large and small.
Adam hold level 4 diploma qualifications, including Pension Transfer Qualifications, and also holds the IMC and the CISI Certificate in Securities. He is a member of the APCC.
Gary Day, DipFA. AwPETR. MLIBF.
Gary Day has been working in Financial Services since he left the British Army in 1990 and during his career Gary has advised clients in various locations around the world in the Far East, Middle East, Europe and the UK.
Gary is an Independent Financial Advisor regulated by the Financial Conduct Authority and is also a Regulated Pension Specalist.
As a Regulated Advisor Gary is authorised to provide advice on a wide range of financial matters including Defined Benefits, Final Salary Pension Schemes and pension sharing in divorce cases.
Gary is a member of The London Institute of Banking & Finance.
Anthony Eyley, CFP.
Anthony Eyley commenced his career in composite insurance broking in 1990 with TSB Trust Company where he developed an extensive level of experience in all facets of personal lines, commercial insurance and discretionary asset management.
When polarisation of the Insurance and Financial Services industry occurred in the United Kingdom in the mid-1990s, he gravitated towards the Financial Services sector, for TSB Bank furthering his knowledge and experience in respect of investment management and collective investment schemes.
In early 2000 he moved overseas and operated in the international Financial Market Place and set up financial practices in Scandinavia, Indonesia, Eastern Europe and Brazil.
Since 2007 he has lived in Zurich, Switzerland and sits on the board of a number of financial services companies. He is a member of various institutes and regulated authorities.