Robert specialises in Irish and European financial services regulation. He advises a wide range of both domestic and international financial institutions, including commercial banks, investment banks and asset managers. His practice includes advice on Irish authorisation and perimeter issues, ongoing compliance with conduct of business and other requirements, regulatory capital, market abuse, the EU single market programme, payment services, corporate governance and financial institution M&A. Robert previously worked in the Financial Regulation group of Clifford Chance LLP in London, and in 2005/2006 spent 12-months on secondment at the Financial Services Authority, advising on both MiFID and CRD implementation in the UK. | Practice Areas |