Wayne joined Waystone in 2021, bringing with him extensive compliance experience gained with financial institutions, in asset management and in funds administration. Prior to joining Waystone, Wayne spent over three years at Intertrust where he led a team of compliance professionals to deliver quality regulatory compliance services to clients including AML/CFT advisory services, KYC/CDD and FATCA/CRS services across multiple jurisdictions.
As Associate Director, Compliance Services, Wayne serves as an AML Compliance Officer (AMLCO), Money Laundering Reporting Officer (MLRO) and/or Deputy MLRO (DMLRO) for a diverse portfolio of funds with a broad range of investment strategies. Fund clients include hedge funds, funds of funds, private equity funds, private credit funds and real estate funds managed by investment advisors located primarily in the Asia-Pacific region. Wayne is responsible for overseeing the AML compliance programs for his fund clients, and overseeing their regular AML audits.
Wayne has a Bachelor of Science from London School of Economics, University of London; an ICA Diploma in Compliance from International Compliance Association and is also a Certified Anti-Money Laundering Specialist (CAMS).