In the dynamic world of finance, it’s essential to have legal experts on hand who can help navigate through tricky regulations and potential legal issues. Particularly in the UK, financial services regulations are rapidly evolving and can be complex to understand. One specialized field of law that has garnered significant attention among businesses and individuals alike is ‘Financial Services: Contentious Regulatory’. It deals with legal disputes about the interpretation and application of financial services regulations. These disputes typically arise when legislative or regulatory bodies take actions that can have profound implications on regulated entities and their senior managers.
Several heavyweight law firms across the UK have developed specialized departments that focus solely on this sector as a response to increased demand. The following listed are some of the most distinguished lawyers specializing in Financial Services: Contentious Regulatory work in the UK today. These individuals not only excel in legal acumen but also bring in years of experience battling complex and high-profile regulatory cases in the UK’s financial services industry.
Prepare to meet the UK’s top ‘Financial Services: Contentious Regulatory’ Lawyers, each representing their firm’s outstanding expertise in this highly specialized field.
Simon Orton, Freshfields Bruckhaus Deringer
Simon Orton’s rich experience in regulatory proceedings is frequently sought out by clients with a global reach. Simon Orton operates from the UK, advising clients on all regulatory matters.
Oran Gelb, Bryan Cave Leighton Paisner LLP
Oran Gelb is known for successfully representing international financial institutions facing anti-competition and market abuse investigations, alongside handling FCA-related matters.
Sara George, Sidley Austin LLP
At the intersection of financial crime and regulatory enforcement, one finds the robust practice of Sara George. Her notable understanding of these complex fields has made her a valuable asset to Sidley Austin.
Arnondo Chakrabarti, Allen & Overy LLP
With a special focus on FCA enforcement and investigatory matters, Arnondo Chakrabarti represents household-name institutions, including insurance companies.
Martyn Hopper, Linklaters
Martyn Hopper has an outstanding reputation for handling FCA investigations on behalf of household-name insurers and investment banks.
Dorian Drew, Clifford Chance LLP
Dorian Drew provides advice to domestic and international banks dealing with the FCA and PRA, offering practical solutions to complex regulatory problems.
Elaine Penrose, Hogan Lovells
Elaine Penrose is respected for her ability to handle contentious regulatory work in the financial services sector, specifically pertaining to PRA and FCA enforcement investigations and compliance issues.
Chris Ninan, Herbert Smith Freehills
Chris Ninan is an up-and-coming lawyer handling a range of contentious regulatory matters on behalf of financial institutions.
Gregory Brandman, Eversheds Sutherland
Gregory Brandman leverages his extensive investigations experience in his representation of regulated institutions and their senior managers.
Andrew Procter, Herbert Smith Freehills
Andrew Procter brings significant experience in handling regulatory investigations brought by the FCA and PRA, advising clients on issues stemming from allegations of market abuse and regulatory non-compliance.
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