Senior Manager - Regulatory & Compliance
Romina Bonnici is a Senior Manager in the corporate and insurance law practice group of the firm. Her role focuses on assisting clients on compliance and regulatory matters involved in the financial services sector, including insurance and pensions-related advice on corporate governance matters, legal and regulatory matters. Romina also provides assistance with the MFSA authorisation process, focusing on insurance and reinsurance undertakings, intermediaries and pensions related applications, including making submissions to and assisting clients in front of the MFSA. Romina previously occupied the position of Deputy Director within the Authorisation Unit at the Malta Financial Services Authority, leading an analytical and multidisciplinary team whose duties primarily involved the processing of applications in the areas of insurance, pensions, trusts and corporate services providers. During her 18-year tenure at MFSA, Romina also attended and participated in international regulatory fora, including working groups of the European Insurance and Occupational Pensions Authority.
The University of Malta, 2008 Master of Arts in Financial Services
Chartered Insurance Institute, United Kingdom, 2004 - Associate of the Chartered Insurance Institute
The University of Malta, 1999 - Bachelor of Commerce (Honours) – Economics