skip to Main Content


La Meer Inc.

La Meer Inc. is a Silicon Valley organization that offers the GRACE suite of web-based solutions

  • Operational Risk
  • Compliance Management
  • Client Compliance
  • Client Management
  • IT Risk
  • Vendor Risk
  • Operational Due Diligence

La Meer solutions are built for Financial Markets by  professionals with 150+ years of experience building technology for Finance.

Get In Touch

Phone: +1(408) 740 7205
Address: 111 W. Saint John Street, Suite 430 San Jose, CA 95113, USA
+1 (408) 740 7205
The La Meer Leadership Team
The La Meer Leadership Team is made up of visionaries and seasoned veterans from the financial industry with experience building complex financial market systems that drive value and change using technology
Neeraj Churi
Senior Business Consultant UK

Neeraj Churi has 20+ years of experience in FinTech and RegTech spearheading large-scale and high-profile initiatives that facilitate major business growth, operational efficiency and risk management initiatives within Tier I banks, start-ups and non-profits spanning New York, London and Mumbai. Over the course of career, he has extensive experience in setting multiple technology departments and…

read more

We have people located at major business centers to manage implementations, deliver projects and support client needs in 

United States: San Francisco, Singapore, New York, 
Canada: Toronto, Montreal
UK: London

The La Meer Advisor Team
The La Meer Team is advised by Industry experts and veterans with great subject matter expertise in risk and compliance as well as Banking, Broker-dealer, alternate investment and wealth management experts

Dr. Bob Mark

Dr. Robert M. Mark is the Founding Partner and Chief Executive Officer of Black Diamond Risk which provides corporate governance, risk management consulting, risk software tools and transaction services. Dr. Mark is also the Founding Executive Director of the Masters of Financial Engineering Program at the UCLA Anderson School of…

read more

Harriet Britt

A securities compliance professional with more than thirty years of progressive experience in compliance at firms providing asset management services, investment banking, institutional trading, institutional sales, research and retail/private client business. Experienced in SEC registered investment advisers for hedge funds, mutual funds, Financial Technology firms (FinTech) and digital investment advisory…

read more

Sidney Wigfall

Sidney Wigfall is an ex SEC Lawyer who is the Founder Managing Partner $ Consultant - Counsel of SCA Group, SCA Compliance and Counsel Group. Sidney specializes in (a) Investment Management & Hedge/Private Funds Regulatory-Compliance Consulting, (b) Outsourced Asset-Fund Manager Compliance & CCO Solutions, (c) Investment Counsel & Outsourced General/Corporate…

read more
Back To Top