We are experienced in regulatory requirements relating to the conduct of various businesses and are able to provide practical advice on compliance with such regulatory requirements to our clients. We are also able to assist our clients with the drafting and making of licence applications for submission to the relevant regulatory authorities for approval.

In particular, we are able to advise on regulatory requirements applicable to the financial services sector over which the Monetary Authority of Singapore has oversight, including the Securities and Futures Act and the Insurance Act. We also include such advice as part of our scope of work in connection with transactional matters such as mergers and acquisitions involving businesses engaged in financial services or insurance businesses and in the structuring of novel financial instruments or products.

If you wish to seek our advice or know more about the support we offer, please call us at (65) 66220366 or contact: