As well as providing specialist regulatory advice for corporate transactions involving financial institutions, we provide bespoke compliance advice to a wide range of financial services clients. We have particular expertise in advising insurance companies, insurance intermediaries, retail and investment banks and investment managers.
Our aim is to use regulatory compliance as a selling tool rather than a business obstacle: we always endeavour to identify opportunities whilst ensuring compliance and using it to meet our clients' strategic objectives.
We also provide specialist contentious advice on regulatory issues, in particular internal and regulator investigations and enforcement actions by the FSA, HM Revenue & Customs and the Serious Fraud Office, as well as advising clients in the financial institutions sector on dispute resolution more generally.
Examples of our recent experience include:Paul Anning
t +44 (0)20 7105 7446
paul.anning@osborneclarke.com