Our Regulatory Compliance & Enforcement Practice Group provides practical, professional, and comprehensive advice to our broad base of local and international clients.
Financial and corporate activity today is subject to a wide array of legislation. This has led to a growing need for legal guidance on compliance and enforcement as well as managing relationships with the relevant authorities.
We have advised several international and local banks in investigations by financial regulators, listed corporations in investigations and enforcement proceedings by securities’ and companies’ regulators and multi-national corporations on compliance with local regulations of all kinds.
Within this practice, we offer strategic legal advice for cases related to: