In an increasingly regulated and complex business environment, organisations across all industries face heightened scrutiny and evolving compliance obligations.

Regulatory developments in areas such as privacy, anti-money laundering and counter-terrorism financing (AML/CTF), foreign bribery, financial advice, climate-related reporting and merger control are creating a more dynamic and complex risk landscape. Such changes demand more than mere compliance – they require strategic thinking and agility in balancing compliance obligations and broader strategic risks.

Drawing on expertise from across the firm, we work closely with organisations to anticipate these developments and offer multi-faceted support in dealing with them – from the preparation and implementation phases right through to responding to regulatory scrutiny and enforcement.

Advising across the full spectrum of regulatory matters, our team – which includes leading practitioners in financial crime and sanctions, ESG obligations, merger clearance, tax and financial services regulation, and data privacy and cyber – brings the strategic insight and practical experience needed to meet these challenges head-on. We are specialists in complex investigations, enforcement actions and public inquiries, and offer a coordinated, agile approach that enables our clients to manage risk, and navigate regulatory change with confidence.