Gerry Cross

Appointed Director of Financial Regulation Policy and Risk in 2015, Gerry leads the Central Bank’s work on prudential and markets conduct regulatory policy and its supervisory risk framework (PRISM).  A member of the Board of Supervisors of EBA, and alternate member of EIOPA Board of Supervisors, Gerry co-chairs EBA’s Standing Committee on Regulation and Policy.  He has had an extensive career in the area of financial services regulation. Before joining the Central Bank he worked at the European Commission, the UK Financial Services Authority, Fortis Group, the Institute of International Finance, and the Association for Financial Markets in Europe.