Ms. Juliette Maynard was appointed Deputy Head of the Investments and Securities Division on 1 January 2015.
In this post, she is responsible for overseeing the licensing, regulation and supervision of mutual funds, mutual fund administrators and entities conducting securities investment business under the Securities Investment Business Law and the Mutual Funds Law and ensuring compliance under the Money Laundering Regulations and the Proceeds of Crime Law.
She joined the Cayman islands Monetary Authority in December 2012, in the role of Chief Analyst in the Investments and Securities Division, where her responsibilities included the supervision of a team of Analysts and Senior Analysts, the oversight of the risk assessments of licensees, the planning, execution and reporting of Divisional inspections.
Ms. Maynard has more than fifteen years' of management experience in the audit, advisory and financial services industries and has worked in various jurisdictions across the Eastern Caribbean, United States and Canada.
She is a Fellow Chartered Accountant, holding the Certified General Accountant (CGA) designation and is a member of the Certified General Accountants Association of Canada and The Institute of Chartered Accountants of Barbados. She is also a Certified Internal Auditor (CIA), as well as a Certified Information Systems Auditor (CISA).