Risk & Compliance

Kevin Irwin, CAIA
Risk Officer

As Risk Officer, Kevin 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 concentration in International Relations from Yale University (1999).  Kevin is a member of the Chartered Alternative Investment Analyst Association.

Matthew Raver
Compliance Officer

Matt is responsible for oversight of GML’s compliance and anti-money laundering arrangements. Before joining GML in February 2011 Matt spent more than 7 years at IMS Consulting where he provided regulatory consultancy services to more than 300 financial services firms.  Prior to this he held in-house compliance positions at Morgan Grenfell and Nomura.  Matt holds an LLB in Law from the University of Sussex (1995) and an MSc in International Banking and Financial Studies from the University of Southampton (1997).