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Richard Dunne

Richard is Quayside's MLRO 

+ 353 86 807 5244

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Richard's story 

Richard brings over 35 years’ experience in banking and financial services, combining deep regulatory expertise with proven leadership in compliance, governance, and risk. 

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Throughout his career, Richard has held senior compliance roles across the Bank of Ireland Group, including as Compliance Officer (PCF-12) for the Mortgage Bank and ICS Building Society. He has led regulatory change programmes, driven regulatory investigations, managed inspections, and overseen the development of Risk Management Programmes (RMPs).

 

His credentials also encompass AML/CFT compliance, prudential regulation, financial reporting, business analysis and change management. 

 

At Quayside, Richard serves as MLRO, responsible for ensuring regulatory alignment, integrity and oversight across the firm’s activities.  He also acts as MLRO for a number of Irish funds. His extensive experience allows him to interpret regulatory demands pragmatically, balancing compliance robustness with leading-edge business ambition.

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Richard is also a qualified accountant (CIMA) and holds professional compliance credentials (LCI, CFCP).

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