Data Security in Financial Services Firms
Terry Douglas
Terry is a highly experienced trainer and consultant, specialising in risk management and control, including fraud prevention and investigation, anti-money laundering, anti bribery and corruption, internal audit and regulatory compliance.
Terry's career in the financial services industry spans over 40 years, beginning with a firm of stockbrokers in the City before moving into banking in the late 70s with Standard and Chartered. For over 20 years he was Head of Internal Audit and Compliance and Money Laundering Reporting Officer at The Head Office of The United Bank of Kuwait in London. In 2001 he returned to stockbroking for a short while before joining CCL
He joined the Institute of Internal Auditors in 1977 and was made a Fellow of the Institute in 1995. In the same year he qualified as a Certified Fraud Examiner. In 2009 Terry became a Fellow of the Chartered Institute for Securities and Investments (CISI) and in 2010 qualified as a Chartered Fellow of CISI. Terry is also a Freeman of The City of London.
Prior to The Financial Services Skills Council (FSSC) (now The Financial Skills Partnership) ending it’s Accreditation scheme, Terry achieved “Approved Trainer” Accreditation. He was also a member of the FSSC Working Groups, developing National Occupational Standards for Countering Financial Crime and Risk Management.
Terry has lectured and trained extensively in the UK and has delivered training courses both in Europe and the Middle East. He is currently Director of CCL City Training.
Tony Rawlins
Tony specialises in courses which cover the life, pensions, mortgage, and insurance sectors. His technical expertise includes compliance and risk management consultancy, and training to help companies prepare for FSA "ARROW" style visits.
Tony has worked in financial services since 1988 and is a Member and Fellow of the Institute of Internal Auditors. Tony also provided support to HM Treasury as a member of an expert group, and was a steering group member of an industry initiative on consumer education.
Before joining CCL, Tony ran a successful compliance consultancy for six years, specialising in the insurance, mortgage and life and pensions sectors.
Tony's also held senior management positions (including internal audit) for the insurance and investment division of TSB Bank plc, as well as Group Compliance Director positions for Sedgwick Noble Lowndes UK Ltd and Hogg Robinson Financial Services Ltd.



