Kevin Sia is the firm’s Regulatory and Compliance Officer. He oversees the regulatory and compliance function of the firm from its Singapore headquarters.
Prior to joining the firm in 2016, Mr. Sia was with Point72 Asia (Singapore) as Country Manager and Compliance Officer, overseeing the Singapore office and compliance matters relating to its fund management business. Prior to Point72 Singapore, Mr. Sia was a compliance officer at Tantallon Capital Advisors, overseeing compliance matters in relation to its hedge fund business. Mr. Sia began his career as an auditor at PwC Singapore.
Mr. Sia graduated with a Bachelor of Accountancy from Nanyang Technological University.