Financial regulation
Financial regulation of investment firms is a specialized area of the regulatory agencies, requiring professionals to adapt to current rules such as MIFID, anti-money laundering and market abuse directives, and issues relating to the marketing of financial products.
​
It's a process of reflection and organization for the company, which includes the preparation of a written diagnosis. This preparatory work, carried out in collaboration with the company's teams, enables us to set up an Audit of the various systems (LCB FT), a risk map, a control program, and the drafting of ethical and/or regulatory charters.
​
This is precise, compulsory, tedious and punishable work, for which the assistance of a lawyer trained as a regulator can prove invaluable.
​
Such counsel can also provide training in investment banking, asset management, private equity, compliance, investigations and administrative audit procedures.
​
With several years' experience in the Investigations Department of the Autorité des Marchés Financiers, I am particularly qualified to help professionals fulfill their professional obligations.