Governance, compliance and risk assurance Scott is the Moore Dixon group risk and compliance director and has more than 25 years’ experience working with local and international firms. He has overall responsibility for the Moore Dixon governance, risk and compliance functions, ensuring that regulatory requirements and customer service standards are consistently met across the firm’s financial services, consulting and insurance businesses. Scott also provides regulatory compliance advice, guidance and support to help clients best meet the requirements of their respective regulators or professional bodies. Scott is a former Isle of Man Financial Services Authority regulator, and a Fellow of the International Compliance Association, and holds a professional postgraduate diploma in Governance, Risk and Compliance alongside graduate diplomas in both International Compliance and International Anti-money Laundering. He also holds a BSc. (Hons) in Management from Alliance Manchester Business School.