At LEGAL PRACTITIONERS FIDELITY FUND, I supported regulatory compliance and risk-management work across a portfolio of 326 law firms. I collected, validated and analysed information to support risk activities and regulatory decision-making.
I also supported trust-account compliance, including Trust Audit Routine Compliance Inspections and the identification and escalation of potential compliance and risk matters. My work included supporting the governance and operational management of the Reform Audit Support System (RASS) and its strategic wind-down.
Previously, at ATTORNEYS FIDELITY FUND, I conducted Trust Audit Compliance Inspections and supported compliance investigations with banks, auditors, Deloitte and the Legal Practice Council. I also prepared compliance reports and refined process documentation and inspection methodologies.

