I have 10 years’ experience as acting as monitoring trustee in merger control, state aid and anti-trust cases reporting to regulatory authorities in the UK and Europe but also in North America, South America, Asia and Africa. My role includes reporting on a scheduled regular basis to the regulators on both behavioural and structural remedies, working with some of the largest companies in the world, their legal and other professional advisers.
My day-to-day role involves liaising with clients and regulatory authorities, ensuring that companies are complying with their obligations to the regulators, supporting businesses which are required to be held-separate as part of any remedy and advising clients.
Our approach is collaborative, we want to ensure that our clients are following their obligations and to that end we provide support and advice on all aspects of the regulatory process whilst remaining an independent set of eyes and ears for the regulators. Whether it is monitoring the financial performance of the business, understanding the separation process or walking through the processes and controls put in place by our clients we want to ensure full compliance with their obligations.
- FCA (Fellow of the Institute of Chartered Accountants in England and Wales)
- Associate of the Association of Certified Fraud Examiners