He has a banking background as a derivatives trader and equities trader at Macquarie Group in Sydney and Tokyo. As a consultant, he has supported a wide range of financial services clients to respond to global regulatory reforms and enforcement action. He has led large-scale risk and transformation programmes for topics such as LIBOR transition and OTC derivatives reform, as well as investigations of trader market abuse and projects to enhance control frameworks for international banks, asset managers and corporate treasuries.
Andrew has also led large independent expert reviews for ASIC court-enforceable undertakings by banks and brokers, and frequently advises clients on their compliance obligations management processes, systems, and controls.