Risk Management
Whistleblowing Management
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Dieder Van Dooren

+32 474 06 01 69

After obtaining his Law Degree, Dieder started his career in the financial industry in 1993. After a couple of roles within what is nowadays known as KBC Bank, he moved on to the Belgian branch of ABN AMRO Bank, where he became in 1999 one of the first Compliance Officers in Belgium.

A couple of years later, Dieder took on a legal & compliance management role in the consumer finance business of the General Electric Group, first in Belgium, later at the Western European HQ based in Paris.

Amidst the financial crisis, in 2009, Dieder started his own consultancy business and created Compliconsult. Since the start of his company, the demand for external compliance resources was almost non-existent; Dieder first worked in a couple of legal interim management roles. However, his conviction was that the need for external compliance expertise would grow and time has proven he was entirely right. For many years now, Dieder has been a full-time Compliance & Risk Management consultant, focusing on the wealth management and fund management industry.

Dieder obtained the Certified Compliance Officer certificate for the financial sector in 2014 and the Certified Compliance Officer certificate for the insurance industry in 2018. Dieder is regularly asked to be a member of the Compliance certification program jury.

Dieder also participated in the Guberna Board members in the financial sector program. Finally, he holds roles as a board member and a compliance officer in multiple financial institutions.  

Dieder is a team player, has excellent communications skills, is pragmatic, solutions-driven and hands-on.

Dieder is married, has four children and is a (board) member of several local non-profit associations in his spare time.