I offer cross-sector advice on complex regulatory questions, helping teams bridge legal, risk and financial perspectives effectively.
In addition to my core work for banks, insurers, and pension funds, I’m often asked to tackle cross-sector issues that require deep regulatory knowledge, sharp analytical skills, and clear communication. Whether it’s interpreting new prudential rules, bridging the gap between legal and financial teams on complex transactions, or providing board-level assurance, I deliver hands-on support that closes gaps and accelerates decision-making.
- CRD/CRR versus Solvency II interpretation
- FRTB versus IRRBB frameworks
- Support the consultancy process of new legislation (lobbying)