Joined the Board in April 2014.
Consultant in the securities industry, having experience in compliance, managing the legal departments and the corporate secretary functions for a public company, and in the regulatory area through the Toronto Stock Exchange as regulatory counsel and the Director of Market Regulation at the Ontario Securities Commission. Worked on special projects for the Investment Dealers Association, (now IIROC), and sat as an industry member on IIROC and Mutual Fund Dealers Association of Canada hearing panels. Long time instructor and course contributor for the Canadian Securities Institute on a variety of industry related courses.
Former adjunct professor at the University of Toronto Law School in the Internationally Trained Lawyers Program, teaching Professional Responsibility and Foundations of Canadian Law.
Graduate of University of Guelph (Bachelor of Arts) and Osgoode Hall Law School (LLB and LLM). Called to the Bar of Ontario in 1977. Fellow of the Canadian Securities Institute.
Member: Coverage Committee.