Rod Martenstyn
Rod has over 25 years of experience in the UK financial services sector, working in a variety of roles at FCA-regulated firms, including chief executive officer, compliance director, and finance director. He is a qualified accountant and has a deep understanding of governance, risk, and compliance.
Rod is passionate about helping firms navigate the complex regulatory landscape, aiming to provide clients with efficient, practical, and easy-to-understand solutions to their regulatory challenges.
Rod is a specialist in prudential regulation, with particular expertise in the Investment Firm Prudential Regime (IFPR), Capital Requirements Regulation (CRDIV/CRR), and Client Money and Assets (CASS). He has spent many years drafting and implementing regulatory frameworks, and has worked with a number of firms through their FCA authorisation process.