Who We are

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WHO WE ARE

cAMPBELL HEDLEY
PRINCIPAL

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Campbell has worked in Legal, Risk & Governance roles for over 20 years in some of Australia’s largest companies in industries including Aviation, Recruitment & Talent Management, Finance and Corporate Agriculture as well as working with numerous not for profit and charitable entities. He has experience in both Australia and overseas, having spent 5 years in Hong Kong overseeing legal & risk across Asia.

A qualified lawyer with a Graduate Diploma in Applied Corporate Governance, Campbell is an experienced Company Secretary and Non Executive Director, and brings a unique perspective to the challenges facing directors and management having sat on “both sides of the fence”.

Campbell has also launched a number of small businesses, and is acutely aware of the increasingly complex risk and governance challenges facing SMEs in Australia. Campbell is a member of the Australian Institute of Company Directors and a Fellow of the Governance Institute of Australia.


Llew Jones
Consultant

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Llew’s expertise has been gained through a long history in Governance, Risk and Finance roles for Professional Services firms, Financial Service providers and Not for Profit organisations both in Australia and abroad.

Llew has experience in developing and rolling out Risk Management Frameworks and is passionate about making these a real part of the everyday culture for organisations.  His focus is ensuring that processes, systems and people identify and manage the risks that matter.

Llew is a Fellow Chartered Accountant, and has undertaken further study in Governance and Risk and is now a Graduate of the Australian Institute of Company Directors and has a Master’s degree in Applied Finance.

As a Not for Profit Director, Llew understands the Governance complexities that arise in this sector, and for smaller entities more generally, especially the challenges that limited budgets create.


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Peter Grimshaw
consultant

Peter has over 28 years of experience in legal, compliance and operational risk roles in Australia, London and Hong Kong.

This includes over 25 years of experience working for a large Australian investment bank in critical risk roles.  Peter had global responsibility for the management of legal, compliance and operational risk for a significant institutional equities and derivatives business providing exposure to a broad range of legal, compliance and related issues across a large number of markets from Australia to the Americas, Europe and Asia.

Through his roles Peter has had significant exposure to the management of regulatory relationships and the “hands on” management of difficult regulatory matters across a range of business areas and markets.  This exposure to risk management in a dynamic and heavily regulated business across multiple markets, has given Peter a unique insight into the requirements for the effective management of risk.

Peter is a qualified lawyer with a deep understanding of business and all of the stresses, challenges and rewards that managing a business in today’s increasingly demanding environment can bring.