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Financial Institutions

We advise banks, investment firms, asset managers, and other financial institutions on a broad range of regulatory, transactional, and governance matters. Our practice covers both day-to-day compliance and complex cross-border issues involving financial products, capital markets, and restructuring.

We assist regulated institutions and their stakeholders in navigating supervisory frameworks, managing risk, and implementing strategic initiatives such as M&A, portfolio sales, or reorganisation. Our experience also extends to representing financial institutions in litigation and regulatory enforcement proceedings.

Our sector-specific services include:

  • Regulatory compliance and licensing (AFM, DNB, FINMA, and EU frameworks)
  • Banking, finance, and capital markets transactions
  • Corporate governance and internal control structures
  • M&A, joint ventures, and portfolio transfers
  • Financial restructuring and recovery planning
  • Dispute resolution and regulatory enforcement
  • ESG, risk management, and sustainable finance obligations

Clients served include:

  • Yapi Kredi Bank (Turkey)
  • CTBC Bank (Taiwan)

Key Contacts

Meet Your M&A Advisors

Prenobe Bissessur

Prenobe Bissessur

Principal

Attorney at Law