David Blunt
XLoD Global
Information
- David is Former Head of the Conduct Specialists Department in Supervision at the FCA. David is responsible for the extension of the senior managers and certification regimes to all FCA authorised firms – one of the key FCA workstreams focusing on culture and governance at firms. David also oversees the FCA’s specialists in a range of areas including consumer contracts issues, remuneration at firms and the FCA’s use of its powers under s166 FSMA (“skilled persons”). David has been at the FCA/FSA since 2000 where his roles have included heading the investment banks supervision department and a variety of roles in the Markets and Enforcement divisions. Prior to joining the FSA, David worked at the London Stock Exchange in its Listing Division. David trained as a solicitor and worked at Lovells (now Hogan Lovells) from 1992-1998 where he specialised in commercial litigation acting for banks and other financial services firms.
Speaker on
Panel Discussion: In Models We Trust? Re-thinking Governance in an AI Landscape
Conference
NFR Innovation & Technology
06/30/2026
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10:40 - 11:30
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Arora 6
2: VIP: Builds vs Buy in the Age of Increased Surveillance Complexity: Can Firms Continue to Realistically Build Their Own Surveillance Capability?
FI Roundtable
NFR Innovation & Technology
06/30/2026
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11:40 - 12:20
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Arora 7
Plenary Discussion: Regulators' Insights on the Future of Non-Financial Risk Management and Controls
Conference
Plenary
06/30/2026
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13:40 - 14:20
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Peninsula East
Panel Discussion: Managing Future Risks across the 3 Lines
Conference
Governance Risk and Compliance (GRC)
07/01/2026
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11:05 - 11:45
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Peninsula East
Panel Discussion: The Trade Surveillance Debate: AI and the Future of Trade Surveillance
Conference
Regulatory Compliance & Market Abuse
07/01/2026
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11:50 - 12:30
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Arora 5