About me
I’m an associate who specialises in both corporate and financial regulatory law, with a particular focus on the financial services sector.
I work with a broad range of clients, including fund managers, entrepreneurs, banks, fintech firms, payment service providers, public companies, universities and private equity houses.
My approach is all about being commercially minded, practical and efficient. I aim to be someone my clients can trust as their go to legal adviser, providing clear, actionable advice they can rely on to shape well-informed decision-making, freeing them to focus on their broader business ambitions.
In a sector that, by its nature, is defined by complexity, I’m here to make things clear. I simplify complicated concepts and processes so clients have the insight to move forward with confidence. Knowing that the advice I provide allows clients to achieve their goals makes it all worth it.
My experience
- Advising on regulatory compliance across a range of financial services legislation, including FSMA, MiFID II, EMIR and the CCA.
- Providing day-to-day advisory support to financial institutions, asset managers, FinTechs and brokers on issues such as conducting business, governance, outsourcing, and financial promotions.
- Advising the firm and clients on the National Security and Investments Act 2021.
