
Bruce Robson joined the FSA in December 2000, initially working as a supervisor in one of the FSA's predecessor Self Regulatory Organisations, the Investment Management Regulatory Organisation. His focus then was on supervising asset management firms, which has been a core element throughout his regulatory career. At N2, when the FSA was formally given its statutory powers, Bruce continued to specialise in supervising asset management firms, but broadened his experience to oversee the activities of stockbrokers and independent financial advisers as well as contributing to a number of significant sectoral issues. He has since had responsibility for overseeing banks and life insurers, latterly managing teams in the FSA's Retail Firms Division. Bruce commenced his current role, managing the Asset Management Sector Team, in early 2006. Before joining the FSA Bruce had 14 years experience working in a wide range of roles with 2 major UK financial services groups, including stints in Compliance and Internal Audit functions.
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