Head of Compliance Services
Phone: + 1 345 623 5131
Selma Stafford is the Head of Compliance Services for Paget-Brown Financial Services Limited, managing the Compliance Department with responsibility for all aspects of the AML Compliance Programme, customer due diligence processes, and employee training and awareness.
Selma has over 25 years of experience in the Cayman Islands financial services industry having served in various management and compliance roles.
Prior to joining Paget- Brown, Selma was the Managing Director of IQ-EQ’s Cayman Office with responsibility for all aspects of daily operations and regulatory compliance. IQ-EQ was originally established as Sinclair Fund Services Limited of which Selma was the Principle Founding Member and served as the Managing Director.
Prior to establishing Sinclair Fund Services Limited, Selma was a Senior Manager with RBC Wealth Management, Cayman Islands where she ran the Fund Administration Department and was responsible for the daily operations and all aspects of regulatory compliance.
Selma is CAMS certified and serves as the firm’s Anti-Money Laundering Compliance Officer.
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