We offer the full range of regulatory advice and support services to a wide range of organisations such as Lloyd’s managing agencies and syndicates, insurance companies, brokers, MGAs, coverholders, affinity groups, service providers as well as banks, and professional bodies.
Our team aim to guide you and your business through often complex regulation by providing practical relevant and sensible advice. We have a strong reputation for guiding our clients through complex bribery, corruption, anti-money laundering and controlling the risk of data management. We have practical experience of developing conduct risk strategies and often carry out regulatory “health checks”.
Most recently we have been advising our clients on the potential impact of Brexit on their businesses and the Senior Managers and Certification Regime (SMCR).