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We can help you manage the impact of financial services regulation through standalone strategic advice, as well as acting as integrated team members on complex transactions and regulatory change projects.
We can proactively identify and address legal and regulatory risks arising in your business and help you to determine what good compliance practice looks like through a combination of risk advisory, benchmarking and horizon-spotting.
We can help you manage investigations and enforcement actions by regulatory bodies, covering wide-ranging regulatory matters, including cross-border regulatory work involving multiple authorities.
Our global team has extensive expertise of transactions involving regulated financial institutions, from the due diligence phase to getting regulatory approvals. We aim to provide technically excellent legal advice that is pragmatic and commercial, taking into account the bigger picture of the transaction as whole.