Colin brings over 30 years Australian and international legal expertise gained in private practice and in senior in-house roles. His primary practice areas are Banking & Finance and Risk & Compliance. He has worked at premier law firms as well as at some of the largest global banks. He is focused in delivering practical and commercial advice to Clients facing increasing complexity in their businesses and in meeting their regulatory and compliance obligations.
Having spent over a decade in Asia, as well as working in London, Europe and the Middle East, Colin brings his experience and commercial acumen to domestic and cross-border transactions. He has advised on debt and equity capital raising, structured and trade finance, syndicated lending, property finance and more recently, M&A, in-bound investment (and FIRB compliance) and general corporate commercial transactions. In the compliance space, he has advised on Australian and international financial services regulation, and dealt with regulators in multiple jurisdictions.
- Advisor
- Australia
- Banking & Finance
- Commercial
- Corporate
- Property