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§ Practice Area 10

Regulatory & Corporate Compliance

  • FCPA and anti-corruption compliance
  • GDPR and data protection
  • Regulatory filings and audits
  • Cross-border compliance frameworks

Regulatory exposure rarely respects borders anymore. Our compliance practice is built by attorneys currently managing Foreign Corrupt Practices Act compliance for a multinational, and SEC, FINRA and GDPR-aligned obligations for a US-based firm, so the frameworks we build for you are tested against live regulatory environments, not theoretical ones.

Whether you need a single policy reviewed or a full compliance framework built for a new subsidiary, we design it to be something your team can actually follow, not a document that sits in a drawer until an audit.

Cross-border compliance is where most businesses discover gaps they didn't know they had. We would rather find them before your auditor does.

Ready to discuss your regulatory and corporate compliance matter?

Tell us the details and an attorney will personally review it within one business day.