I have experience advising a range of financial institutions, corporates and individuals in relation to complex contentious regulatory matters including internal and regulatory (FCA/PRA/Ofgem) investigations; regulatory engagement and enforcement. I have a particular interest in culture and misconduct; market abuse, manipulation and insider dealing (MAR and REMIT); and financial crime.
I also have extensive experience of advisory matters, including the Benchmarks Regulation, Brexit planning and the senior managers and certification regime.