Greg is a Partner in the Litigation and Dispute Management Team. He was formerly a manager in the FCA's Enforcement and Financial Crime Division. He specialises in regulatory investigations and representing financial institutions, their senior managers and approved persons in FCA and PRA enforcement proceedings. He also specialises in financial services dispute resolution.
Greg has considerable investigations experience both from his time at the FCA and in private practice including in relation to market abuse cases, systems and controls violations, client money breaches, mis-selling and investigations into misconduct by senior manager and holders of accountable higher management functions.
In addition to his contentious regulatory work, Greg has considerable experience acting for financial institutions in relation to a wide range of commercial and financial services disputes.
Greg regularly writes articles, speaks at conferences, comments in the media and provides training for clients in relation to a wide variety of financial services regulatory matters.