Professional Bio


Andrew Clinton
Managing Director
+ 44.20.7024.7570
Business Card (vCard)
Professional Background
Andrew Clinton is the Managing Director responsible for our UK and European practices. Prior to joining Protiviti in 2007, he spent nearly 20 years at KPMG, 12 as a partner. A member of the FSI consulting executive, he had leadership responsibilities for investment management, corporate and investment banking. He also had cross P&L roles related to corporate transactions, account management and global networks.
In assisting clients, he has provided a wide spectrum of consulting services from strategic advice, through business governance and on to large scale change management. In recent years, he has been most active in helping clients manage change that has been driven by regulatory matters, new business or operating models and/or corporate transactions.
Representative Engagements Include
  1. Led the team that designed improved risk management arrangements at a major commodities trading firm. This involved changes to credit, market and operational risk processes, systems and governance
  2. Designed and implemented a new governance structure for a complex global asset management organisation
  3. Led the teams on three post merger integration programmes involving FSI firms from various countries
  4. Led the successful development and implementation of a CRM Target Operating Model, including implementing new systems, at a global investment bank, involving 1200 people across the world
  5. Undertook a number of front and middle office projects at investment managers addressing issues such as performance measurement, attribution analysis, compliance, new products, profitability analysis, roles & responsibilities and systems
  6. Created a new operating model to solve scaling, complexity, compliance and technology issues in a major asset manager’s use of derivatives
  7. Reshaped two Middle Eastern investment authorities through modernizing people, processes and technology
  8. Undertook detailed gap analysis at global trading bank, comparing policies and procedures to regulations and best practice. Produced action plans which client took into implementation
  9. Led teams that assisted two insurance companies with upgrading risk management functions
  10. Led team that successfully implemented new systems and processes relating to new anti money laundering standards in seven countries at a major alternative investment manager
  11. Assisted large insurance company in its programme to converge risk, compliance and internal audit
  12. Conducted a global efficiency review for a global asset management firm that identified significant cost savings
  13. Led teams that prepared banks and asset managers for ARROW visits from the regulator
  14. Designed and implemented new Finance MIS systems and processes for a global asset management company
  15. Led teams to complete Solvency II Gap Analyses at Life and General insurance companies
  16. MiFID gap analysis for a large U.S. asset servicing bank with extensive European operations
  1. BA Economics, University of Exeter
  2. Investment Management Programme, London Business School