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Ian Kelly leads on Regulatory Advisory and Policy at Royal Bank of Canada Investment Management. He focuses on Regulatory Policy developments, Capital Requirements, the ICAAP and Regulatory Reporting. His remit also includes Regulatory Policy for other RBC Group entities including RBC Capital Markets.
He began his career at the UK FSA where he worked in a variety of roles including Capital Adequacy Policy development, implementation of the Retail Distribution Review (RDR) and Investment Firm Supervision. He then spent several years as a consultant at Big 4 firms where he advised investment brokers and asset managers on FCA prudential requirements and the impact of incoming regulatory changes, e.g. CRD IV and IFPRU. Ian’s analyses have been published in trade magazines and financial law textbooks. He holds a Masters in Commercial Law from the University of Edinburgh.