Compliance

Our global team help clients navigate compliance challenges through deep sector knowledge among risk management and regulatory guidance across multiple jurisdictions.

Helping clients to navigate complex global compliance matters

In today’s rapidly changing regulatory environment, complying with local and international laws and regulations has become an increasingly challenging task for international companies across all sectors. Compliance regimes are becoming increasingly wide-ranging, complex and stringent.

Companies that conduct business globally need to be proactive in order to ensure compliance with growing regulatory requirements regarding reporting, anti-money laundering, trade, and sanctions, as well as the increased enforcement of regulators.

Clyde & Co compliance lawyers help our clients identify and address risks before they escalate. Specifically, we can assist in the design, implementation and testing of compliance policies and controls, and also perform due diligence reviews and conduct internal investigations. Where problems do arise, we can represent clients in regulatory investigations.

With nearly 70 offices worldwide, our global risk and compliance team has deep knowledge and experience of regulatory frameworks and cultures spanning numerous different jurisdictions and deep expertise across each of our core sectors. Through this we are able to provide a comprehensive and joined-up compliance service to our clients.

Our Compliance team

Sam Tate
Sam Tate

Partner and Global Head of Regulatory & Investigations

Mark Beswetherick
Mark Beswetherick

Partner

Anousheh Bromfield
Anousheh Bromfield

Partner

Keith Geurts
Keith Geurts

Partner

Chris Hill
Chris Hill

Partner

Rebecca Kelly
Rebecca Kelly

Managing Partner – Australia

Charles Kuhn
Charles Kuhn

Partner

David Leckie
David Leckie

Partner

Kenneth P. Quinn
Kenneth P. Quinn

Partner

Weiyi Tan
Weiyi Tan

Partner

John Whittaker
John Whittaker

Partner

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