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GRAHAM
MAY
Graham
May is a practising solicitor, originally admitted
in 1979 following a law degree at Cambridge University
and two years of articles with a Manchester firm of
solicitors, George Davies & Co. His initial background
was in commercial property transactions for the London
Legal Department of the National Coal Board Pension
Schemes. Graham’s international experience included
7 years practising as an attorney-at-law in the Cayman
Islands in the areas of banking, insurance, trusts
and mutual funds. Since 1989 he has acted as an in-house
lawyer in the U.K. financial services industry, first
with currency fund managers, Gaiacorp U.K., and
then as Managing Director of that group’s London
subsidiary, renamed Titan Capital Management, where
he was instrumental in developing the worldwide investment
management business. Having co-ordinated the sale of
Titan in 2002 – 2003, he set up Mottram Partners,
an accounting and compliance subsidiary of a plc. Following
the break-up of the plc, he jointly established Millers
Associates to continue the business of advising plc’s
and private companies in all aspects of corporate and
company secretarial procedures. In
2007 Graham joined the City firm of Paul Roberts Solicitors
as a consultant
solicitor,
and gained FSA regulated status as a corporate adviser,
in order to complement his work at Millers.
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TRYPHONAS
STAVROU
Tryphonas
Stavrou graduated from the University
of North London with an Accounting
and Finance diploma and post-graduate
diploma. He has over 12 years’ experience
of accounting and financial reporting.
He was Finance Officer responsible
for all accounts and FSA financial
reporting for 4 years at Titan Capital
Management, a UK based fund manager
with offices in Athens and Hong Kong.
Since 2003 he has held the position
of Finance Officer for a number of
private client stockbrokers and has
also been providing services to diverse
clients in accounting, taxation and
risk management through Mottram Partners
and, more recently, Millers Associates,
in which he is a director and principal.
Tryphonas is a member of the Chartered
Institute of Purchasing and Supply,
the Association of Taxation Technicians,
an Associate of the Securities Institute
and has passed the FSA exams for Futures
and Options Representatives.
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DANIEL
LYNCH
Daniel
Lynch has over 35 years’ experience
in the financial industry. He spent
significant periods at each of National
Australia Bank London Branch (as foreign
exchange dealer and settlements manager),
Potts, West, Trumbull Stockbrokers
(as Office Manager and Dealer) and
the National Bank of Abu Dhabi London
Branch (as Head of Investment Administration).
Danny’s recent risk management/compliance
experience comprised 4 years at hedge
fund managers Titan Capital Management. At Mottram Partners he provided compliance
services for two years to a number
of FSA regulated entities, and in mid-2005
he joined the other two principals
to establish Millers Associates to
capitalise on his vast experience in
the areas of settlements and compliance
in financial services. Danny is an
Fellow of the Securities Institute
as well as being on the board of an
FSA regulated London stockbroking company.
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JAMES MCGILL
James
McGill, MSI, has over 25 years’ experience
in the financial industry, predominately
in stockbroking for both private and
institutional clients. He started his
career on the floor of the London Stock
Exchange with Spencer Thornton. Following “Big
Bang” he progressed to Nat West
Stockbrokers, where he became head
of trading. His last role in broking
was CEO of Capital Institutional Services,
a Dallas based broker trading in global
equity markets for various US hedge
funds and institutions. Since early
2005 James has been acting as a consultant
in the area of executive recruitment,
a successful business which he has
now brought into the range of consultancy
services offered by Millers Associates.
He has attained NYSE/NASDAQ series
7, 10, 17 and 24 qualifications and
is an FSA general representative, as
well as a Member of the Securities
Institute.
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