Until 2020, Paul was Managing Director of Regulatory Compliance, Risk Assurance and Strategy at HSBC for Global Banking and Markets. Until 2016, he was a Risk Director at Lloyds Banking Group and previously undertook a similar role at HBOS. During his career he also had a sixth month secondment with the Financial Conduct Authority. He has always had an interest in Education and wishes to bring his experience in risk management to the Trust.