Shida Yusuf
More than 18 years of related experience in the compliance, risk management and secretarial fields, particularly in the capital market and banking industry. She was also a former Head of Compliance in several asset and fund management companies.
She obtained her Institute of Chartered Secretaries and Administrators, UK from Institute Professional Baitulmal in 2001 and she further obtained her Associate Member from MAICSA in 2006.
In her past portfolio, she was the Secretariat to Investment Committee Meeting for unit trusts and wholesale funds, Advisor on Compliance of UT Guidelines and others rules and regulations by Securities Commission, FiMM, EPF, BNM, Labuan FSA, Related Party Transactions, Conflict of Interest, Transactions and Exposures with Connected Party, AMLA, PDPA, and other relevant capital markets regulations inclusive of internal policies and procedures. In addition to that, she was also involved in compliance review for operations activities ensuring the operations in compliance with sets rules and regulations

