- Regulatory & Compliance
Rob is a Director in our Regulatory & Compliance team. He has extensive experience across a wide range of regulatory matters including health and safety, environmental law, consumer protection, fire safety, food safety and regulation, fraud and anti-corruption. He has acted in numerous high-profile fatal accident cases, inquests and fire safety prosecutions. He is regularly called upon to provide board level briefings on corporate and director liability and assist with crisis management and incident response strategies.
As a former prosecutor with the Serious Fraud Office, Rob has managed large complex cases and has an in-depth understanding of the tactics and approach of regulators. This proves invaluable to achieving the best possible outcome for his clients.
In their words
"A Regulatory investigation can be a long and daunting process. Understanding the best strategic approach is key to helping a client navigate their way through it with the minimum of disruption and maximum effect. There is a fine line to be drawn between co-operation and capitulation – it is essential to get it right"