With over 24 years working in BVI financial services, Calum has obtained an excellent knowledge of all aspects of the industry. Aside from the day-to-day operations and management of licensed and regulated trust/company management companies, he has acted as a signatory to various corporate director companies and director/signatory to trustee companies and entities varying greatly in terms of structural complexity, asset value and activities, including mutual fund and insurance-related structures.
At various times he has been approved by the relevant Regulators to act as a director in a number of jurisdictions, including the Cayman Islands, Barbados, Nevis and Anguilla. Presently a Council member of the BVI Investment Funds Association, a former member of the BVI FSC Fiduciary and Registry Liaison Committee and a Council member of the BVI Association of Registered Agents.
He is a member of the Institute of Directors, London a member of the Association of Certified Anti-Money Laundering Specialists and a BVI FSC-approved Compliance Officer and Anti-money Laundering Reporting Officer.