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About

Rhonda is a senior corporate, financial services and funds management lawyer with 20+ years experience. Former Deputy General Counsel and Company Secretary at St.George Bank, Associate Director at Macquarie Bank and Associate at Baker & McKenzie.

Significant experience in M&A, corporate governance, compliance, company secretarial, risk management and regulatory matters. Now Director of her own legal consultancy practice advising startups and SMEs in the financial sector on an ad-hoc and outsourced in-house counsel basis.

From her background in financial services, she is experienced in interfacing with regulators including ASX, ASIC, APRA and ACCC, with a keen appreciation of licensing, regulatory and compliance issues and an ability to balance commercial imperatives to help businesses find practical and efficient solutions.

She is a commercially focussed, strategic thinker with good analytical skills and a practical approach to problem solving.

 
 
 

Expertise

  • Corporate

  • Banking & Financial Services

  • Funds Management

 

Pedigree

  • Macquarie Bank

  • St. George Bank

  • Ernst & Young

  • Baker & McKenzie

Roles held

  • General Counsel

  • Company Secretary

  • Chair of Compliance Committee

 
 

Verified: NSW Law Society, Principal of a Law Practice | Mandatory Insurance $2 million per claim

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