ABOUT US
Gary Wayne
Gary Wayne has been in the financial services industry for 40 years. From 1979 to 1999 Gary managed numerous brokerage and trading houses in the City of London. Predominantly covering Derivatives, Futures, Foreign Exchange and Global Equities.
In 1999 Gary joined Blenham Investment Corporation, a BVI company, to manage equity investments. In 2001 Gary formed MCI Asset Management for the purpose of Investing in Global Markets.
MCI Asset Management built an expertise in Global Equites, Fixed Income and Property Investment.
In 2011 Gary Incorporated MCI Global Investment Advisors Ltd with a view to creating an FCA regulated entity. This was originally created under the AR scheme with the backing of its clearer but the services offered did not meet its needs .
In 2020 MCI GIA Ltd became FCA regulated as an AIFM in its own name.
We are now offering Global services within our FCA remit .
Jason King
Mr King has approximately 25 years of Investment Management and Corporate Finance experience with strong interpersonal skills. He has historically been active across Capital Markets, Hospitality, and Real Estate. Beginning his career in London in 1997, Jason began working for Regent Asset Management, working alongside their Chief Investment Officer managing the global equity and debt investment business. He helped create a successful Multi-Family Office with representation across 3 continents and a 20-person strong investment team.
In 1999 Mr King relocated to Hong Kong where he spent 4 years covering Asian Markets, now based back in London he has spent most of the last 15 years working with MCI running the middle and back-office’s day to day activities, his strong understanding of global business and finance for MCI helps maintain a steady balance to the business.
COMPLIANCE
The compliance team have 20+ years’ experience within financial services working for major high street banks, Discretionary Fund managers, Wealth managers and insurance companies across several compliance functions for business as usual and past business reviews including S166 reviews. Through understanding of compliance issues for retail and professional clients in retail packaged products, securities, and derivatives and hold the following qualifications, CISI Diploma in Investment Compliance (Level 6), CFA Society of UK, Investment Management Certificate (Level 4), CISI Investment Advice Diploma (Securities, Level 4), CISI Investment Operations Certificate (CASS speciality)
CISI Combating Financial Crime Certificate.