Our regulatory practice is not confined to the sector-specific and practice-specific matters that have been discussed elsewhere in this paper. In addition to and beyond those matters, we advise and represent for-profit, not for-profit and other clients and their personnel in four broad areas.
Two of these areas have a financial dimension. One of them covers accounting disclosures and governance. Another involves anti-bribery, anti-money laundering and anti-corruption law. A third area is the law relating to privacy, security and other protection of electronic data. The fourth area is health, safety and environmental law.
In each of these areas, we advise on articulating policy statements and setting up compliance procedures and programmes, and on making filings. We also advise on responses to regulatory requests for information, investigations and audits, and on the limits and extent of applicable compliance law.
Further, we represent clients and their personnel in criminal and civil proceedings in respect of fines and other infractions, and in administrative and other fora with consumers, competitors and regulators.