We act for a cross-section of multinational and local banking corporations, insurance institutions, manufacturing, trading, property and construction companies, institutions, NGOs, statutory bodies as well as various businesses.
SERVICES PROVIDED INCLUDE:
Banking regulation and compliance
Advising banks and securities companies on regulatory and compliance matters in relation to banking, securities and regulated activities including issues relating to the Banking Ordinance, HKMA circulars and guidelines, Code of Banking Practice, Listing Rules and SFO-related compliance
Advising banks and financial institutions on compliance issues, complaints and investigation by regulatory authorities, such as product due diligence (PDD), know-your-customer (KYC) process, customer risk profiling, anti-money laundering (AML) and counter-terrorist financing (CFT)
SFC compliance and licensing
Listing compliance
General compliance
Commercial and cybercrimes
Disciplinary proceedings
Discrimination
Privacy and personal data
Securities (regulatory matters and investigation)