Thomas Howard

Member Board of Trustees at InspireUK - The Charity
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Location
London, England, United Kingdom, UK

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Credentials

  • Solicitor of the Senior Courts of England & Wales
    Solicitors Regulation Authority
    Mar, 2014
    - Sep, 2024

Experience

    • United Kingdom
    • Non-profit Organization Management
    • 1 - 100 Employee
    • Member Board of Trustees
      • Jul 2022 - Present

      Providing expertise and advice on legal and governance matters for InspireUK - The Charity... working to broaden access to mental health services in the UK. Providing expertise and advice on legal and governance matters for InspireUK - The Charity... working to broaden access to mental health services in the UK.

    • United Kingdom
    • Law Practice
    • 700 & Above Employee
    • Legal Director
      • Nov 2021 - Present

      Advising on a broad range of financial services matters including Cryptoassets and FinTech, Payment Services and E-Money, Consumer Credit, Retail and Private Banking, Retail Mortgages, General Insurance and Insurance Distribution and Retail Investments Advising on a broad range of financial services matters including Cryptoassets and FinTech, Payment Services and E-Money, Consumer Credit, Retail and Private Banking, Retail Mortgages, General Insurance and Insurance Distribution and Retail Investments

    • Switzerland
    • Software Development
    • 700 & Above Employee
    • Senior Legal Counsel - Cloud Services
      • Jun 2019 - Nov 2021

      Temenos is the world leader in banking software, partnering with banks and other financial institutions to transform their businesses and stay ahead of a changing marketplace. Over 3,000 firms across the globe, including 41 of the top 50 banks, rely on Temenos to process both the daily transactions and client interactions of more than 500 million banking customers. Temenos offers cloud-native, cloud-agnostic front office and core banking, payments, fund management and wealth management software products enabling banks to deliver consistent, frictionless customer journeys and gain operational excellence. Show less

    • United Kingdom
    • Law Practice
    • 700 & Above Employee
    • Associate - Financial Services Regulatory
      • Sep 2017 - Jun 2019

      Advising on a broad range of contentious and non-contentious Financial Services matters involving: Consumer Credit, PSD2, EMD, MCD and IDD, MIFID II, FCA and PRA authorisations and FCA and PRA enforcement actions Advising on a broad range of contentious and non-contentious Financial Services matters involving: Consumer Credit, PSD2, EMD, MCD and IDD, MIFID II, FCA and PRA authorisations and FCA and PRA enforcement actions

    • United Kingdom
    • Law Practice
    • 700 & Above Employee
    • Solicitor - Financial Regulation
      • Dec 2015 - Sep 2017

      Solicitor in Pinsent Masons' Financial Regulation practice. The Financial Regulation team provides regulatory advice for a wide range of financial institutions, including government bodies, banks, consumer credit firms, securities firms, investment managers, alternative asset managers, custodians, building societies, life and non-life insurance companies, reinsurers, electronic trading platforms, stockbrokers, corporate financiers, retail intermediaries, pension houses, payment services firms and peer-to-peer lending firms. Show less

    • United Kingdom
    • Financial Services
    • 700 & Above Employee
    • Associate, Enforcement and Market Oversight Division
      • Nov 2014 - Dec 2015

      Assisting the FCA's Authorisations division in relation to the determination of consumer credit applications, including preparing and presenting contentious cases before the Regulatory Transactions Committee (RTC), Regulatory Decisions Committee (RDC) and the Upper Tribunal (Tax and Chancery Chamber). Assisting the FCA's General Counsel's Division (GCD) and Policy Unit in developing responses to issues arising from the expansion of the FCA's role to include the regulation of consumer credit. Show less

    • Latvia
    • Legal Services
    • Associate - Financial Services Disputes & Investigations Group
      • Mar 2014 - Oct 2014

      Associate in Eversheds' Financial Services Disputes & Investigations (FSDI) Group, undertaking a mixture of: Financial Services Litigation; Regulatory Investigations / Enforcement Action; and Corporate Crime Associate in Eversheds' Financial Services Disputes & Investigations (FSDI) Group, undertaking a mixture of: Financial Services Litigation; Regulatory Investigations / Enforcement Action; and Corporate Crime

    • United Kingdom
    • Law Practice
    • 700 & Above Employee
    • Trainee Solicitor
      • Feb 2012 - Mar 2014

      Undertook seats in:Financial Services Dispute ResolutionAdvocacyCorporateNon-Contentious Construction

    • Paralegal (FTC)
      • May 2011 - Feb 2012

      London Corporate Division

Education

  • University of Cambridge
    MA (Cantab), English
    2004 - 2007
  • BPP Law School
    LPC (Accelerated), Law
    2010 - 2011
  • BPP Law School
    GDL
    2008 - 2009
  • University of Cambridge
    BA(Hons), English
    2004 - 2007
  • The Leys School, Cambridge
  • University of Cambridge
    Bachelor of Arts - BA, English Literature
    2004 - 2007
  • University of Cambridge
    BA Hons, English Literature
    2004 - 2007

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