Nominations, Conflict and Compliance Committee
As a custodian of capital, Eos Capital prioritises good governance practices which is why we have independent Boards of Directors with board members who bring a wealth of expertise, diverse perspectives, and a shared dedication to guiding our organisation towards excellence. Meet the individuals steering the course of our mission with passion and purpose.
Sam Peter
Independent Non-executive Director
Sam Peter
Independent Non-executive Director Sam has experience in private equity, investment banking, and strategy consulting. Prior to joining Gateway, he worked at Emerging Capital Partners (ECP), involved in the execution, portfolio management and origination of PE transactions across Sub-Saharan Africa. Before ECP, he was in Rand Merchant Bank’s Corporate Finance team, executing M&A and equity capital market transactions for private equity and mining clients. Sam started his career at Bain & Company, working on private equity due diligence and strategy cases for international clients. He has an MBA from the University of Oxford’s Saïd Business School (selected as the Oxford Dean’s Scholar) and a Bachelor of Business Science in Finance (Hons) from the University of Cape Town, South Africa.
Selma Shalauda
Nominations, Conflict and Compliance Committee Member
Selma Shalauda
Nominations, Conflict and Compliance Committee Member
Selma Shalauda is a finance professional who serves as a Fund Accountant at the Government Institutions Pension Fund.
She brings more than sixteen years of experience across the financial sector, including roles in fund accounting, management accounting, treasury, markets and banking operations. Before joining the Government Institutions Pension Fund she worked as a Management Accountant at Letshego Bank Namibia, a Money Market Team Leader at RMB Namibia, a Trade Dealer and Acting Treasury Middle Office Manager at SME Bank. These roles allowed her to develop strong capability in liquidity and cash management, asset and liability management, investment operations and regulatory reporting.
Academically, Selma holds a Bachelor of Accounting degree with Honours from the University of Namibia. She has enhanced her professional profile through additional training with the University of Cape Town where she obtained a Certificate in Basics of Financial Management.
Vicky Dan
Nominations, Compliance and Conflicts Committee Member
Vicky Dan
Nominations, Compliance and Conflicts Committee Member
Vicky Dan is a seasoned senior management professional with over a decade of experience in Governance, Regulatory Compliance, Anti‑Money Laundering (AML), and Risk Management. She brings deep subject‑matter expertise and a strong strategic lens to complex regulatory and operational environments. Throughout her career, Vicky has held strategic leadership roles across multiple sectors, including retail, insurance, investment management, regulatory bodies, and banking. This cross‑sector exposure has equipped her with a well‑rounded perspective on compliance frameworks, enterprise risk, and regulatory engagement within both regulated and fast‑evolving industries. Vicky holds multiple academic qualifications, including an Honours Degree in Business Administration, a Baccalaureus Juris (BJuris), and a Bachelor of Arts in Communications and Psychology. Her academic background underpins her ability to combine legal rigor, commercial insight, and effective stakeholder communication. She is dually certified as a Compliance Practitioner and an Anti‑Money Laundering Compliance Practitioner, reflecting her commitment to professional excellence and adherence to global best‑practice standards. Beyond her professional achievements, Vicky is a devoted mother and maintains an active lifestyle as an avid runner and cyclist, embodying discipline, resilience, and balance both personally and professionally.