Who we are

At RegCoNet, we are ready to take your compliance to the next level

RegCoNet is a Singapore based network of seasoned compliance professionals and partners with extensive experience in regulatory frameworks across various jurisdictions.
Our team has real-world risk management experience gained from global banking, fintech, and Big Four consulting firms. With a passion for helping others succeed, we provide leadership and guidance to your compliance officers and analysts, fostering an environment of excellence and a commitment to delivering superior results.

RegCoNet Founders

RegCoNet is growing, available in Singapore and Australia with partners serving the financial industry in APAC.

Wim D’Halleweyn

Managing Partner SG

Wim is a financial crime compliance expert with extensive experience in risk management, consulting, and transformation programs. He has a strong background in banking risk management and has held senior roles at Big Four consulting firms. He also has a proven track record of founding successful consulting companies in Europe. He combines his FCC knowledge with deep expertise in data management and data governance.

Jay Gadar

Managing Partner SG

Jay is an experienced Regulatory Compliance Director, with 15 years experience working within banking & consulting. Specialist in risk transformation, governance and change management at regulatory and board level review. He covers a broad range of practical compliance expertise in Section 166 Remediation Projects, financial crime compliance,
MaRisk, BaFin, Basel III reform, MiFID II, ESMA, Dodd Frank and EMIR refit.

Kirsten Trott

Managing Partner AU/Perth

Kirsten is a seasoned risk, compliance and ethics professional with international experience across profit and non-profit sectors. She has worked as a lawyer, a consultant and in senior risk and compliance roles for leading financial services companies both in Australia, the UK and Singapore. Her work has focused on designing and implementing effective structures, processes and cultures to assist organisations to ‘do the right thing’ – comply with regulatory obligations, act ethically and manage their risks. She is also a subject matter expert in whistleblowing.


Paul Korte

Managing Partner AU/Melbourne

Paul has extensive cross-border management experience in the risk, compliance, corporate governance and legal functions within the financial services sector. With a depth of experience both in Australia and the APAC region, Paul has led large regulatory change and remediation programs.  He has a strong focus on conducting lessons learnt retrospectives and using evidence-based problem solving for uplifting risk and compliance capability and culture.

Building Resilience.

Our Purpose

Our purpose is to build an exclusive network of seasoned compliance experts, uniting diverse knowledge and practical experience, to help our clients with the proven strategies and skilled talent necessary to not only meet regulatory requirements but to embed genuine compliance resilience across their operations.

Our purpose is simple: to empower compliance teams worldwide with the knowledge, tools, and support they need to be resilient in the dynamic world of risk.
Wim D’Halleweyn

We are driven by a steadfast commitment to transparency, integrity, and delivering tangible results for our valued clients. Through our dedication to transparency, we aim to foster trust and openness, providing compliance teams with the clarity they need to make informed decisions. With integrity at our core, we uphold the highest ethical standards in all our dealings, building enduring relationships based on honesty and respect.

“Above all, our mission is fueled by a relentless passion to see our clients thrive, armed with the resources and guidance necessary to navigate the dynamic landscape of risk management with confidence and resilience.”
Jay Gadar

Our Team

Our network of consultants combine their risk & compliance expertise with the critical skills to manage effective and efficient compliance programs