We advise across the spectrum of regulatory issues including licensing and compliance for regulated entities whose scope of activities fall within the ambit of the Monetary Authority of Singapore, such as banks and financial institutions, capital markets participants, issuers or offerors of securities, securities-based derivatives or units in a collective investment scheme and, payment services providers, family offices, fund and asset managers, crypto participants and exchanges, among others.

Our Regulatory and Governance team also advises on corporate governance and compliance, including for public listed and private entities as well as funds and other externally managed entities. We advise directors, board committees and management on their roles, responsibilities and liabilities, and their response to activism, corporate wrongdoing, among others.

We advise clients on ESG matters, including compliance with sustainability reporting, sustainability taxonomy compliance and frameworks, to achieve appropriate investment outcomes, and ratings

Regulatory and Governance

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