
Ken
Audit & Assurance
Ken has over 10 years of experience in public accounting and financial reporting. He began his career at Nexia in Malaysia, managing audits for large and mid-sized companies across various industries, including hospitality, shipping, cryptocurrency, and financial services.

ken@thebowmangrp.com

Stephanie
Accounting and Taxation (Fund Admin)
Stephanie has over 20 years of experience in commercial accounting, GST, and tax compliance within MNCs in Singapore. She leads accounting and tax teams, overseeing financial reporting and ensuring regulatory compliance. Her expertise includes managing complex tax issues and international tax frameworks.

stephanie@thebowmangrp.com

Usha
Accounting and Taxation
Usha leads the Accounting and Taxation (Financial Services) division with over 20 years of experience. She handles corporate tax filing, MAS tax incentives, GST remission, AEOI reporting, and provides tax advisory services for family offices. Usha is also skilled in IFRS, SFRS, and Malaysia FRS standards.

usha@thebowmangrp.com

Siti
Company Secretary
Siti is the Corporate Secretary Associate in Bowman Singapore. She is highly experienced and dedicated corporate secretarial specialist with over 15 years of proven expertise in providing comprehensive support to teams within local companies in Singapore. Proficient in handling a wide range of administrative tasks, governance requirements, contributing to the smooth operation and success of businesses. Diligent, detail-oriented, and adaptable, consistently ensuring compliance with regulatory standards and enhancing organizational efficiency.

siti@thebowmangrp.com

Grady
Senior Advisor
Grady has over 25 years of experience, as an accredited tax practitioner specializing in advisory services for single‑family offices, fund managers, and financial institutions in Singapore. He has served as audit lead and independent director for investment funds and advises on licensing application, regulatory compliance, fund structuring, stamp duty, withholding tax, GST, FATCA/CRS, and cross‑border compliance. His experience includes assisting with regulatory licences such as CMSL, VCFM, and MPI, as well as advising on payments, compliance, and fintech strategies.

grady@thebowmangrp.com

Ray
Internal Audit
Ray leads the firm’s Internal Audit practice with 22+ years of experience in financial services. His expertise includes internal audit, AML/CTF compliance, global markets, investment banking, SOX, and UK tax/VAT matters, focusing on Greater China and Southeast Asia. He’s certified in ACCA and ACAMS.

ray@thebowmangrp.com

Ron
Licensing Application and Regulatory Compliance
Ron has extensive experience providing regulatory services for single-family offices and fund management companies in Singapore. His expertise includes assisting with acquiring licenses such as the Capital Market Services Licence (CMSL), Venture Capital Fund Manager (VCFM), and Major Payment Institution (MPI).

ron@thebowmangrp.com

Ryan
Human Resources
Ryan is a qualified HR leader and recruiter with expertise in recruitment, employee management, and immigration services. He leads HR teams managing end-to-end recruitment and applications for Employment Pass (EP), Permanent Residency (PR), and citizenship, ensuring compliance across sectors.

ryan@thebowmangrp.com

Jason
Malaysia
Jason is the Managing Director in Malaysia with over 10 years of experience at international firms. He has managed a wide range of engagements across industries, including listed companies, manufacturing, cryptocurrency, financial institutions, funds, and non-profits. Jason specializes in various analysis, evaluating internal controls, and ensuring compliance with IFRS, SFRS, and MFRS.

jason@thebowmangrp.com

Terence
Hong Kong
Terence is the Managing Director in Hong Kong, he brings over 25 years of experience with international firms. He has led IPOs and advisory engagements for listed companies across Hong Kong, Singapore, and Nasdaq. His expertise includes regulatory compliance, due diligence, and financial reporting for PRC and Hong Kong entities, with deep knowledge of IFRS, SFRS, HKFRS, PRC GAAP, and US GAAP, guiding clients through complex listing and accounting processes.

terence@thebowmangrp.com

Philip
Industry Partner (Corporate Advisory)
Philip is a veteran banking and finance executive with over 40 years of experience across corporate banking, investment banking, capital markets, trade finance, and regulatory advisory throughout Asia. He has held senior leadership positions at leading international financial institutions, including United Overseas Bank, Dresdner Bank, Fuji Bank, ANZ Investment Bank, Commerzbank, VTB Bank, and Bank Mandiri. A Chartered Accountant of Singapore (ISCA) and Fellow of CPA Australia, Philip specializes in cross-border banking, corporate restructuring, regulatory advisory, and strategic transactions. At Bowman Group, he leads regulatory advisory, corporate restructuring, cross-border banking strategy, and transaction facilitation across Asia.

philip@thebowmangrp.com

Richard
Industry Partner (International Relations)
Richard has over 25 years of experience across the public sector, investment management, and high-tech industries. He previously held senior roles with the Singapore Government, including the Singapore Economic Development Board (EDB), where he led foreign direct investment (FDI) initiatives and helped attract major Chinese corporations to establish regional headquarters in Singapore. His expertise spans cross-border investments, private equity, venture capital, real estate, family offices, and licensed fund management companies, with extensive experience in investment management, strategic advisory, and business development.

richard@thebowmangrp.com

Kishen
Compliance
Kishen is a compliance, AML/CFT, and internal audit professional with experience supporting regulated financial institutions in Singapore, particularly Fund Management Companies (FMCs). He specializes in regulatory compliance, governance, and risk management with expertise in MAS regulations. Kishen also conducts internal audits, gap analyses, supports MAS inspections and regulatory engagements, implements compliance frameworks, and delivers compliance training to strengthen governance and risk management.

