I work at Lexia’s Financial Services and Financial Regulation practice as an Senior Associate. I advise our financial sector clients on various regulatory issues and have assisted in several authorisation processes. I have in-depth knowledge of financial sector services, products, and regulatory frameworks. In my role as an outsourced Compliance Officer, I work collaboratively with our team to deliver compliance services to financial sector clients, including investment firms, payment institutions, and electronic money institutions. I am also experienced in analyzing new financial regulations, distilling their key implications, and implementing necessary changes into our clients’ business operations as part of our ongoing service offering.
I have experience in several IPO projects and have a particular interest in legal issues concerning publicly listed companies. I have supported numerous clients with matters related to good governance and organizational structuring within these contexts. Additionally, I advise and assist our clients extensively in various corporate law matters and corporate transactions. I have also assisted in assignments related to family wealth law, estate planning and inheritance planning. Furthermore, I have experience in trademark law issues.