Risk & Compliance

Kevin Irwin, CAIA, CFA
Co-Chief Operating Officer and Risk Officer

As Co-Chief Operating Officer, Kevin works with Janis Brady overseeing various aspects of the funds.  He is particularly involved in structuring the funds, with a focus on the legal documentation relating to the funds.  As Risk Officer, he is responsible for analysing risks at the transaction, portfolio, fund and operational levels.  Kevin began his career in 1999 with Mellon Financial Corporation and joined GML in 2007.  At Mellon he was a Manager in the Institutional Accounting department, directly managing 20 staff and responsible for more than 50 clients.  Kevin holds a BA in Political Science with a concentration in International Relations from Yale University (1999).  Kevin is a Chartered Alternative Investment Analyst (CAIA) and Chartered Financial Analyst (CFA) charterholder.

Shpresa Gashi
Compliance Officer

Shpresa handles GML's compliance and anti-money laundering arrangements. Before joining GML in August 2013 Shpresa was Compliance Officer at Goldman Sachs Asset Management where she offered compliance advisory support to the equity and fixed income teams for sub advised funds and separate accounts. Prior to Goldman Sachs, she worked at JP Morgan as a compliance analyst. Shpresa holds a BA (Hons) Business Management Financial Services degree from the University of Westminster (2007).