Andrew Poole

Andrew Poole is a Director in the Financial Services Compliance and Regulation practice, based in London.

Andrew leverages over a decade of experience working in the financial sector, the vast majority of which has been spent focused on the alternative investments space covering private equity, private credit, securitizations, real estate and venture capital.

Andrew has held various operational, front office and in-house compliance roles in firms both in the UK and Switzerland and has gained an in-depth understanding of not only the day-to-day running of a financial services firm but also the impact of regulations across various functions and jurisdictions. Combining this first-hand knowledge, he seeks to provide practical commercial advice while ensuring compliance with applicable regulations.

Prior to joining Kroll, Andrew worked with ACA Compliance Group in London focusing on the private markets sector, advising and supporting clients of various sizes and structures. He is also the author of various white papers and articles dissecting the impact and implications of regulatory change across the industry.

Andrew holds a B.Sc. (Hons) Genetics from the University of Newcastle.



Financial Services Compliance and Regulation

End-to-end governance, advisory and monitorship solutions to detect, mitigate, drive efficiencies and remediate operational, legal, compliance and regulatory risk.

Compliance and Regulation

End-to-end governance, advisory and monitorship solutions to detect, mitigate and remediate security, legal, compliance and regulatory risk.