Tetractys Partners

The Company

Tetractys Partners LLP is a boutique compliance consultancy which was formed in 2013 by Gary Pitts, a senior compliance and governance professional of some 28 years’ experience.

We believe that everything flows from good governance – be it effective compliance with regulations, business or cultural changes, or the effective and sustainable development and growth of an organisation.

Our vision, mission and values

Tetractys Partners LLP is known in the market as a first class, high quality Compliance Consultancy that is easy and fair to deal with. Our reputation is characterised by professionalism, competence and the highest level of integrity.

The mission of the company is to become one of the most successful boutique consultancy firms in the world. This will result from top tier senior leadership, hiring top talent and developing them in-house, and maintaining the highest level of professionalism and integrity in every single business transaction.

Tetractys’ culture of excellence enables it to attract and retain a clientele of the highest calibre.

Meet our Compliance Consultant


Managing Partner

Tetractys focuses on the importance of governance as the essential driver of good compliance outcomes. Gary delivers open and bespoke training courses and conducts external Board Effectiveness Assessments alongside his consulting and expert witness work. Gary has a particular interest in cyber security governance and the impact of digitisation on compliance and business processes. He also works closely with small and mid-sized accountancy and law firms, helping them and their clients to navigate FCA-related issues arising from their business.

Gary has held FCA controlled/senior manager functions since 2001, has been a director of regulated companies in the UK and South Africa, has been a Central Bank regulated person in Ireland and a registered compliance officer of US-regulated firms (SEC and NFA). Gary is a Fellow of the Institute of Leadership and Management, Fellow of the Chartered Management  Institute and holds an MBA from the Open University Business School and Masters degrees from Oxford and London Universities. He sits on the regulatory advisory board of the Journal of Securities Compliance and has also held a number of charity trusteeships and non-executive roles.