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We provide pragmatic and commercial regulatory solutions, servicing over 200 clients with AUM in excess of $295 billion.

The RQC Group was founded in 2007 by Robert Quinn, a U.S. lawyer specialising in cross-border regulation, as a commitment to providing investment managers with integrated UK and U.S. regulatory support. This proactive and holistic perspective allowed firms to efficiently and confidently build their business with a firm grasp of their regulatory obligations in multiple jurisdictions. The company has grown with an elite team of compliance experts to service over 150 clients with tailored guidance from our offices in London and New York, along with providing regulatory platforms to host over 60 firms. Whether your needs as a business are relatively simple or more complex, you can be assured that our focus is providing you with excellent customer service and pragmatic advice tailored to the best interests of your firm.

The RQC Group takes its role as your trusted advisor seriously and our focus is providing you with advice that efficiently and cost-effectively meets your needs, not cross-selling services that benefit us. Our clients stay with us for a long time because we invest in your success with the following principles:

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Our services to you:

  • Institutional quality – our suite of over 60 documents that we provide our ongoing clients are thoughtfully designed to meet the needs of institutional client and due diligence
  • Commitment to technical excellence – we understand the regulations, the legislative intent behind them and how they apply to you – ask to see some of our technical work!
  • Providing you with visibility over your peer group
  • Support at the board and operational due diligence level
  • Regulatory hosting as a cost-effective alternative where we are able to put our compliance expertise front and centre

Our team is provided with the tools to succeed so that they are prepared to provide you with the tools to succeed:

  • We are a team of diverse individuals with unique experiences who can bring our authentic selves to the workplace and be celebrated for our strengths
  • An exceptionally collegiate and collaborative environment where consultants can find a long-term home and meaningfully challenge, question, learn and contribute
  • Focused on finding pragmatic solutions and taking the time to achieve it
  • Leveraging our efficiencies so that we are committed to the thoughtful delivery of solutions to you
  • We put our money where our mouth is! We have been running regulatory hosting solutions for over 10 years, so we understand the decisions you have to make in the real world
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Our focus:

  • We prioritise ongoing relationships, so we understand your business and risk appetite
  • Proactive and strategic – we always want to understand your plans in the short and medium term to help identify any regulatory issues
  • Collaboratively finding solutions and looking for ways that we can say yes and build your business
  • Understanding the difference between regulatory requirement, best practice, industry standard and a commercial decision
  • Referring business away when it doesn’t fit within our core expertise – as your trusted advisor, we don’t pretend to be experts in everything

Who we work with

The RQC Group advises a diverse group of clients, a number of whom we have worked with for many years. Our happy clients are the biggest source of referrals, so it is important to us as your trusted advisor to provide a personal, high-touch service to our clients. It’s fair to say that we approach it a bit differently than our competitors so feel free to ask your peers and service providers about us.

  • Investment Managers
  • Wealth Managers
  • Private Debt
  • Corporate Finance
  • Fund Managers
  • Hedge Funds
  • Fund of Funds
  • Venture Capital
  • Advisory & Marketing
  • Proprietary Traders
  • Introductory Services
  • Family Offices
  • Private Equity
  • Asset Managers
  • Brokers
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Our Executive Team

Founder & CEO

Robert Quinn

Robert is the founder and CEO of the RQC Group, which is a part of the Capricorn group of companies. An expert in UK and U.S. cross-border regulation, Robert founded the RQC Group in 2007 as a commitment to delivering premier UK and U.S. compliance expertise to financial services firms who are serious about building an institutional quality business – an ethos that remains core to all our business lines.  Robert started his career as a lawyer in San Francisco Bay Area during the dot com boom in the 90s – experiences that allowed him to thrive in an environment where legal and regulatory staff creatively found pragmatic solutions to help the business to grow from strength to strength. Relocating to London in 2006, Robert has spent the last fifteen years advising firms on all aspects of UK and U.S. regulations during a period where it’s become essential for firms to get sound cross-border technical analysis and advice. He has an exceptional ability to translate complex regulatory issues into easy-to-understand advice.

Robert is passionate about helping clients navigate FCA, SEC, CFTC and related regulations in an integrated fashion. His ethos of collaboration and customer service permeates the firm and has helped create a brand known for excellence on the street. He understands the importance of compliance when raising capital from the top tier of institutional allocators and works with c-level executives on both a strategic and day–to–day level.

Robert is a member of the regulatory hosting committee, which has responsibility for the appointment of hosted investment managers and appointed representatives as well as ongoing supervision.

Executive Director

Darryl Noik

Darryl is an Executive Director of the RQC Group and a Director of Capricorn Fund Managers, our investment management regulatory hosting platform, where he manages the supervision of investment managers and provides advice from structuring, service provider selection and day to day operations. Darryl also serves as the Chief Compliance and Risk Officer and the chair of the regulatory hosting committee, which has responsibility for the appointment of hosted investment managers and appointed representatives as well as ongoing supervision. Darryl joined Capricorn in February 2013 as Chief Operating Officer when the firm was an external hedge fund manager and has extensive experience in hedge fund operations and finance, which brings a practical and commercial perspective to the platform.

Prior to joining Capricorn, he listed an insurance broker on the AIM market and was the COO of the Stenham Group, an international financial services group providing alternative asset management investment solutions (hedge fund of funds ($3.6bn) and property funds (€3bn)). After qualifying as a chartered accountant with Deloitte, London, in 1991 he remained there until 1998 before joining a client, Primedia, an international media group, as Commercial Director responsible for the European operations, corporate finance and tax planning.

He is also a consultant to Wilson Advisory based in Mumbai with offices in Singapore and Mauritius

Executive Director

Jonty Campion

Jonty is a Director of both the RQC Group and Capricorn Fund Managers and a member of the regulatory hosting committee, which has responsibility for the appointment of hosted investment managers and appointed representatives as well as ongoing supervision.

Jonty supervises the sales and business development team for the group and previously served as the Head of Marketing and Investor Relations when Capricorn was an external hedge fund manager. Our hosted managers appreciate his expertise and guidance with building a business and assets under management. Prior to joining Capricorn in 2013 he was Head of Marketing and Investor Relations at Clareville Capital Partners LLP, a London based hedge fund. He started his career in the Oil and Gas division of Sedgwick Energy Ltd. In 1993 he joined the European Convertible Bond

Desk at Tullett and Tokyo International Securities Ltd and later went on to co-manage the Relative Value and Algorithmic Trading Desk at Tullett Liberty Equities Ltd. He graduated from the University of Nottingham.

Managing Director

Barrie Davey

Barrie has been a Managing Director of the RQC Group since 2012 where he manages the UK consulting team, which supports FCA, SEC and NFA regulations, and the supervision of appointed representatives on our advisory hosting platform. He also is a member of the regulatory hosting committee, which has responsibility for the appointment of hosted investment managers and appointed representatives as well as ongoing supervision. 

Originally working in the life and pensions industry where he qualified as a Chartered Insurer in 1992, Barrie moved into asset management compliance in 1994 and has held senior compliance roles at Legal & General Investment Management, Augustus Asset Managers Limited and State Street Global Advisors Limited where he was Head of UK Compliance and Chief Compliance Officer (SEC). Prior to joining RQC Group in 2012, Barrie was Director of Compliance at Affiliated Managers Group Limited where he had responsibility for compliance oversight of AMG’s global operations in London, Dubai, Sydney and Hong Kong. 

Managing Director

Matt Raver

Matthew has been a Managing Director of the RQC Group since 2013 where he supervises the teams dealing with technical regulation, regulatory change, regulatory submissions and technology. With over 22 years’ experience in regulatory compliance, Matthew is an invaluable member of our team as the “consultants’ consultant” and advises the group on technical regulatory matters and change. Matthew is also a member of the regulatory hosting committee, which has responsibility for the appointment of hosted investment managers and appointed representatives as well as ongoing supervision. 

Matthew started his career in the compliance departments of Morgan Grenfell Asset Management and Nomura Asset Management. He then joined IMS Consulting as a compliance consultant. After seven years he went back into the industry and became the registered Compliance Officer and Money Laundering Reporting Officer (FCA) and Chief Compliance Officer (SEC) at GML Capital LLP, a boutique asset manager specialising in emerging market credit. 

Managing Director (U.S.)

Allison Gill

Allison has been a Managing Director of the RQC Group in New York since 2017 where she heads the group’s U.S. team. As our senior regulatory consultant focused on the private fund industry, she has over 23 years’ experience in financial services. Allison and her team provide valuable insight on SEC and NFA regulations for our UK managers and regularly undertake SEC and NFA mock exams and health checks. Before joining the RQC Group, Allison was a Director on the regulatory team at Duff & Phelps New York for over 9 years and the U.S. technical liaison for both the London and Hong Kong offices. While at Duff & Phelps, Allison assisted clients in developing and implementing compliance infrastructures designed to meet regulatory requirements and industry best practices. 

In 2007, Allison helped launch the asset management consultancy Kinetic Partners (acquired by Duff & Phelps) in New York. Before Kinetic, Allison worked in-house as a compliance officer and supervisory principal at H.G. Wellington & Co. Allison’s areas of expertise include SEC and NFA/CFTC policies and controls development, risk-based monitoring, and compliance program reviews. 

Our Senior Management Team

Senior Consultant

Susan Askew

Susan is a Senior Consultant at RQC Group and has worked in asset management compliance both in-house and as a compliance consultant since 1986. 

Susan worked for Mercury Asset Management for 17 years, including 10 years in the Group Compliance department and was a regulatory consultant at KPMG for nine years. Subsequently, she joined Close Brothers for three years where she worked in the Group Compliance department and was the Deputy Divisional Compliance Officer at Close Asset Management. 

This was followed by an eight-year stint at a compliance consultancy where she was responsible for a portfolio of investment management clients as well as undertaking s166 reviews of investment firms. Susan subsequently moved in-house working for a hedge fund manager for three years, before joining RQC Group in 2022. 

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Director: Sales & Business Development

Stephen Bond

Stephen is the Sales and Business Development Director at the RQC Group. He is a financial services professional with over 18 years of operational, equity sales and trading, investor relations and fund management experience. 

He is experienced in helping our clients to structure their business and partnering with outsourced financial service providers, counterparties, lawyers, auditors as well as internal teams. Stephen maintains a deep and active network from both the buy and sell side industries, institutional allocators and family offices. Stephen started his career as a graduate at Tisbury Capital before moving to prime brokerage at Merrill Lynch and then spent 10 years at Williams Trading LLP focusing on European equities. Post Williams, Stephen has held the head of business development roles at leading fund management platforms. He holds a degree in Politics and Social Policy from the University of London. 

Head of Operations (Capricorn Fund Managers)

Edward Bromley-Martin

Edward is the Head of Operations of the regulatory hosting platform, Capricorn Fund Managers, having initially joined as Operations Manager in 2020. Edward has 12 years of operational and financial experience having spent 6 years in the oil and gas sector in West Africa before building and implementing the operational and financial setups of 2 start-ups in the financial and healthtech spaces back in the UK. 

Prior to joining the RQC Group, Edward was Operations Manager for a systematic hedge fund based in London, which included in depth involvement with regulatory matters, service providers, investor relations and due diligence. 


Mark Buckley-Jones

Mark is a Director in the New York office with a focus on the private fund industry. Prior to joining the RQC Group in 2019, Mark spent 11 years in in-house CFO and CCO roles with three separate investment advisers. 

After qualifying as a chartered accountant in 2004 with Deloitte in South Africa, Mark immigrated to the United States where he worked in the CFO Services division of Deloitte Consulting and subsequently the Controllers Division of Goldman Sachs Investment Management. 

Director/Senior Consultant

Camilla Cater

Camilla joined the RQC Group as a Senior Consultant in October 2017, after 7 years as a Senior Associate at Duff & Phelps. 

Camilla provides regulatory advice and on-going compliance support services to a wide range of investment firms, including hedge fund managers and private equity businesses, who are also registered in the U.S. with the SEC and the NFA. 

She has undertaken secondments at a number of FCA regulated firms as well as client projects, including assisting newly authorised firms implement tailored compliance infrastructures, implementing regulatory change (such as AIFMD, MiFID II and SMCR) as well as assisting with key regulatory processes, such as initial applications and ongoing notifications to the FCA, SEC and NFA.


Arthur Kenigstain

Arthur is a Director of Compliance Consulting in the RQC Group’s New York office and has over 15 years’ experience in compliance and regulatory oversight. 

Prior to joining the RQC Group in 2022, Arthur spent over 13 years at the National Futures Association (NFA) as a Manager II in the New York office where he oversaw the completion of examinations of NFA members. Prior to that, he was at AllianceBernstein LP, in their internal audit department. 

Arthur is a Certified Fraud Examiner and Series 3 licensed. 

Director/Senior Consultant

Peter Main

With a background in investment banking compliance, Peter has been providing regulatory compliance advice to alternative investment managers since 2014 and on behalf of the RQC Group since 2017. Peter works with firms regulated by the FCA, SEC and the NFA.

Marketing Director

Wayne Merris

Wayne is the Marketing Director at the RQC Group and also leads the strategic oversight and operations of both the group’s communications and the e-Learning division. 

Wayne is an award-winning hands-on strategic marketing professional with over two decades of extensive global blue-chip brand marketing experience, and proven success across the FMCG drinks, telecommunications, edtech and financial services industries. Wayne joined the RQC Group in February 2020. 

Group Financial Manager

Anya Nieuwoudt

Anya is the Group Financial Manager for the RQC Group. She started her career at Deloitte South Africa in 2014 and transferred to Deloitte UK in 2018, where she was an Audit Manager, before joining the RQC Group in 2020. 

Anya is a qualified Chartered Accountant (SA).

Senior Consultant

Jordan Oliveira

Jordan is a Senior Consultant at RQC Group with over 5 years’ experience in regulatory compliance covering the UK and the U.S. He has been responsible for ongoing compliance support, including assisting with FCA applications, monitoring and advising, and overseeing requirements with respect to the RQC Advisory Hosting platform. 

Earlier in his career, he worked for a Merchant and Futures Trader in Brazil. Jordan has a bachelor’s degree in International Relations (Catholic University of Brasília – Brazil). 

Chief Operating Officer (Capricorn Fund Managers)

Lynda Stoelker

Lynda is Chief Operating Officer of the regulatory hosting platform at the RQC Group, Capricorn Fund Managers, where she and her team oversee the day-to-day supervision and operations of our hosted managers and appointed representatives. She is also a member of the regulatory hosting committee, which has responsibility for the appointment of hosted investment managers and appointed representatives as well as ongoing supervision. Prior to joining, Lynda was a Director of Stenham Advisors Plc, a $4.6bn international asset management group providing alternative investment solutions to institutional, family office and high net worth clients. 

Lynda has extensive experience in managing investment research and operational due diligence processes, where she reviewed hundreds of investment managers to determine asset allocation. In her previous role as Head of Investment Research at Stenham, Lynda orchestrated the growth and development of the investment team, implementing processes to meet the demands of the growing institutional client base. In her role as Director, Lynda played an integral role in ensuring all processes were efficient and that best practice was employed at all times. Lynda spearheaded many initiatives during her tenure at Stenham, driving the focus on responsible investment, ESG and digital assets in the latter years. 

Lynda was previously named as one of the 50 leading women in hedge funds by the Hedge Fund Journal. Lynda is a Chartered Alternative Investment Analyst and holds the Investment Management Certificate. 

Director/Senior Consultant

Hakan Zeki

Hakan joined the RQC Group in November 2020 after having worked in compliance consulting for the previous five years as a senior compliance Consultant advising a number of clients, including asset managers, brokers and fintech platforms. 

He has also previously worked at Bloomberg Tradebook Europe as a compliance officer where he advised the firm regarding financial regulation and was involved with day-to-day compliance matters, at the Financial Services Authority within the enforcement team involved in the split’s capital investigation, at the Financial Services Compensation Scheme reviewing investor losses and at Customs & Excise within the prosecution team, dealing with financial crime. 

Hakan is a qualified solicitor who has been involved in the financial services industry for over 20 years. 

Our History

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Download our Company Overview Brochure


All courses are accessible on our bespoke web or app platforms immediately upon purchase.



All courses are delivered through fully-automated, interactive online visual solutions.



Courses cost from as little as £20 per Learner per Course, or £6 per Learner on Subscription.



A certificate is issued on successful completion of all courses for compliance-filing and all UK courses are CPD-certified.



All courses include regular ‘Check Your Knowledge’ sections throughout and an end-of-course Quiz.



Courses take from 30 to 90 minutes to complete and can be viewed and completed in multiple sittings.


Purchasing, Onboarding & Volume Discounts

You can purchase any combination of our broad range of e-Learning courses and onboard multiple users in your Firm, in just four quick and easy online steps:

  1. Select the courses and add them to your Basket
  2. Checkout and purchase your course(s)
  3. Sign In and Register your relevant employees/Users
  4. Allocate all your registered employees/Users to their course(s)

We’ll help you connect the dots with clear prompts and assistance throughout this quick and easy four-step process, which includes applying automated Volume Discounts depending on the number of courses you purchase, as follows:

Number of courses Volume Discount
10 – 24 Courses 2.5% Discount
25 – 49 Courses 5% Discount
50 – 99 Courses 7.5% Discount
100 – 149 Courses 10% Discount
150 – 199 Courses 12.5% Discount
200 – 249 Courses 15% Discount
250 – 299 Courses 17.5% Discount
>300 Courses 20% Discount

You will receive an enrolment email for each Course you sign Users up to.

Once registered and enrolled onto their course(s), your employees/Users will each receive a welcome email inclusive of their login credentials/instructions together with a separate enrolment confirmation for each of their courses.

All Clients have access to a centralised User Dashboard with Live Reporting on the progress of all your enrolled employees/Users and from where you can download all your employees/Users Course Certificates once they have successfully completed their courses. This is clearly explained in our Power User Guide, downloadable from your Account.