Rules and Compliance Committee

Continuous monitoring and evaluation of newly developed regulations and rules pertaining to the industry and timely action taken to collaborate and support the overall objectives of the brokering industry.

, Managing Director, Capital Trust Securities (Pvt) Ltd.

Having joined the industry in 1993, his experience is extensive, most significantly in that he was responsible for arranging many strategic transactions at the CSE and developing one of the largest client bases. He chairs Capital Trust Holdings and its Group companies, while also functioning as a Director of People's Merchant Finance PLC, Capital Trust Financial (Pvt) Limited, Capital Trust Corporate Solutions (Pvt) Limited and Capital Trust Information Technologies (Pvt) Limited. He holds an MBA from Edith Cowan University, Australia.
Committee Members: