+353 1 234 3787
No matter where you are in life, at EUI Private Wealth you are at the centre of everything we do.
We are an Investment Advisory firm specialising in providing informed financial advice to Corporate and Private Clients throughout the EU and Internationally.
Incorporated and Headquartered Ireland in 2016 the firm is regulated by the Central Bank of Ireland (C153039) as a MIFID Investment Firm and an Insurance Distribution firm with passport rights into all of the EU.
The firm has a team of qualified advisors providing advice on a broad range of financial products from leading financial institutions across the EU.
John holds a BCL and a LLM (Business Law) from UCC, a Post Graduate Diploma in Corporate Finance from Chartered Accountants Ireland. he is, a Registered Stockbroker, a Registered Tax Consultant, a Qualified Financial Advisor, has Diplomas in Wealth Management & Investments, is a Member of Chartered Institute for Securities & Investments and a Member of the Irish Institute of Bankers and a Member of the London Institute of
Banking and Finance.
John has 20 Years + experience in Private Investment & Corporate Finance Transactions (Disposals, Acquisitions, Valuations, Fund Raising, Structured Product) in both Ireland and the UK. He has served in senior management positions with PLCs and AIM listed companies in addition to working with start-ups and established SMEs.
John is also authorised by the Financial Conduct Authority of the UK and sits on the board of AXG Asset Management, a FCA regulated firm.
In addition to being responsible for the day to day running of the firm, John specialises in pension transfers and consolidation.
Gary Day has been working in Financial Services since the 90s and during his career Gary has advised clients in various locations around the world in the Far East, Middle East, Europe and the UK. Gary is an Independent Financial Advisor regulated both by the Central Bank of Ireland and by the Financial Conduct Authority. He has a level 4 diploma in financial advice and is also a Regulated Pension Specialist. As a Regulated Advisor he is authorised to provide advice on a wide range of financial matters Pension Schemes and pension sharing in divorce cases. He is a member of The London Institute of Banking & Finance.
Paula is a Bachelor of Laws (L.LB), a qualified accountant (FCA), a Licentiate of the Association of Compliance Officers in Ireland and a Fellow of the Chartered Institute for Securities and Investments (FCSI). Paula has more than 25 years’ experience in senior Compliance roles including with ABN AMRO Stockbrokers Ireland, HSBCS Securities, Pershing Securities International Ltd and J&E Davy where she was Head of Compliance from 2000 – 2009 and a Board member from 2007-2009. Paula has worked with KPMG in its regulatory advisory practice and prior to establishing her own Compliance consultancy in 2018 spent 7 years as Business and Legal Director in Davy.