Dublin, County Dublin, Ireland
MBA Graduate (KAIST), Lawyer, and Bachelor in Economics, with work experience at the national securities market regulatory body in Peru (SMV). Focus areas include corporate compliance, regulatory review projects, financial market analysis, and green growth sectors.
Appointed to a permanent, increased-responsibility role after placing first in a highly competitive institutional selection process (comprising rigorous technical examinations and formal panel interviews). Key Achievements: • Managed a diverse portfolio of regulatory review projects, cross-functionally coordinating strict timelines and data flow across multiple institutional departments • Prepared and delivered time-sensitive compliance reports and market summaries utilized directly by senior executive boards for strategic decision-making • Analyzed complex corporate structures and capital market data to identify regulatory compliance gaps, driving the collaborative analysis required to establish the substantive groundwork for administrative procedures
Stepped away from daily analyst duties under an approved institutional leave of absence to complete an intensive MBA at KAIST.
Served as a legal officer conducting regulatory analysis and corporate compliance reviews across the capital markets sector. Key Achievements: • Conducted strategic research and synthesized complex financial data to support institutional enforcement actions and respond to official information requests • Analyzed supervised financial entities' records and drafted formal legal enforcement documents, driving the collaborative cross-functional analysis required to establish the substantive groundwork for administrative procedures
Served as a legal representative managing commercial litigation and corporate recovery strategies for major banking clients. Key Achievements: • Concurrently managed 50+ active commercial case files for banking clients, tracking strict statutory deadlines and maintaining organized digital records • Acted as the authorized legal representative in enforcement litigation and structured debt recoveries, minimizing financial exposure through calculated commercial negotiations with corporate debtors
Acres Finance is a financial services group focused on capital markets, asset management, and financial structuring. During this internship, I actively supported the internal control and compliance team by executing Know Your Customer (KYC) and due diligence processes for institutional clients. I assisted in evaluating compliance risks to align transactions with securities market regulations, while coordinating with corporate finance teams to track internal control KPIs and ensure regulatory alignment across frontline capital market operations.
Provided foundational legal and administrative support for corporate operations within the construction sector.
Assisted with legal documentation, corporate compliance, and risk reviews for an infrastructure and construction company.