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Robyn is an independently registered compliance officer with the Financial Services Board and has 11 years of experience as both internal and external compliance officer. She is approved for both Category I and Category II compliance. Robyn has a B. Juris degree from the University of Port Elizabeth and has been involved in the financial services industry since 1997. She has completed the Regulatory Examination for Key Individuals for both Category I and Category II as well as the SAIFM Registered Persons Exams for Introduction to Financial Markets, Codes and Ethics, Bonds and Equities. Robyn has also achieved certificates in Collective Investment Schemes from Investmentwise and Board Governance through the University of Johannesburg.

Her work experience includes Pick ‘n Pay Financial Services, Norwhich Life, Fedsure, Moonstone, FNB, ABSA, RMBAM and Masthead. Although Robyn’s passion has been within the compliance arena, she has also had experience as a regional sales manager, broker consultant and as a financial advisor.