Leading Associates

Firms To Watch: Regulatory and compliance

Elisabeth Lees heads the practice at boutique firm Claritas, which specialises in regulatory law and litigation. Katie Pearson is also noted.

Regulatory and compliance in Cayman Islands

Maples Group

With a substantial, dedicated regulatory and compliance practice in the Cayman Islands, Maples Group stands out for its wealth of experience across both contentious and non-contentious matters in the practice area. The gamut of investment funds, banks, trust companies and virtual asset service providers populate the client base of the department that is led by Christopher Capewell. He has broad knowledge an experience in matters including FATCA and CRS issues, the securities investment business law, anti-money laundering and terrorist financing, and the OECD country-by-country reporting regime, among other areas. Tim Dawson is another senior figure of note and comes with client praise, as does Adam Huckle, who is the name to note for litigation in this field. The ‘extremely knowledgeable but also very approachablePatrick Head is another key team member.

Responsables de la pratique:

Christopher Capewell


Autres avocats clés:

Tim Dawson; Adam Huckle; Patrick Head


Les références

‘Maples became a reference to our group with regard to Cayman law as the firm has been able to support our legal department in different areas such as financial services regulation and corporate law. All of the different teams of the law firm with which we have worked with responded timely to our requests and queries and were promptly available when needed.’

‘Tim Dawson was a key person in the process of obtaining our license to operate a bank branch in the Cayman Islands. He was personally involved in all steps of the process promptly responding to all our queries. He is now providing support on the regulation applicable to additional products that we intend to offer by means of our Cayman branch. It has been very positive to go through all this process with the support of a partner who has the complete view of our structure and activities.’

‘Maples has advised us on regulatory matters related to our branch in Cayman. We enjoy working with them because they are very accessible, responsible and provide creative solutions.’

Principaux dossiers


Walkers

Walkers continues to be a standout choice in the Cayman Islands for financial services regulatory advice, instructed on a regular basis by multinational financial institutions, insurers, banks, and fintech and virtual asset companies. An already strong practice on Grand Cayman was bolstered in April 2024 by the return to the office on the island of the ‘very effectiveColm Dawson, who had previously been based in Hong Kong. At the helm of the practice, Lucy Frew is one of the most experienced practitioners in the market, including having worked in-house at the regulator, and now assisting with the full range of financial regulatory matters and investigations. Andrew Howarth is heavily involved in the full range of the team's financial regulatory work, while more senior partner Ian Mason provides further support, with particular expertise in fintech and crypto assets, as well as financial crime, AML and market conduct issues. Another up-and-coming figure in the market is Juliana Tang, whose practice covers licensing, investigations, and compliance frameworks, and she is well known for cross-border reorganisations and transactions. There is robust support for the partners from Charlie Griffiths, but the firm did see the departure of Tony De Quintal in January 2024.

Responsables de la pratique:

Lucy Frew


Les références

‘We depend on Walkers’ deep expertise in Cayman Islands and British Virgin Islands financial services laws. Walkers clearly thinks critically about all the relevant legal issues while being commercial and practical in their advice. We also greatly appreciate their responsiveness.’

‘We recommend Lucy Frew and Charlie Griffiths.’

‘We worked particularly closely with Lucy Frew and Callum Wright, who were both responsive, helpful, pragmatic and gave good advice on a complex regulatory change in control process on a significant global transaction. We very much appreciated their attention to this matter.’

Principaux dossiers


Conyers

Clients of Conyers‘ see it as being ‘at the forefront of all regulatory and compliance developments‘, looking to the team for day-to-day advice, as well as in investigations by CIMA. The latter has been a recent growth area for the practice, particularly as regards its insurance sector client base. Cryptocurrency and fintech matters have been an area in which the firm's reputation has increased, receiving a number of referrals for regulatory advice in such. April 2024 partner appointment Róisín Liddy-Murphy leads the practice and is a specialist in regulatory advisory, investigations and disputes. Robert Lindley, the head of the firm's trusts and private client offering, is also a key contact here, and Derek Stenson is a senior contact for insurance matters. Sarah Howie, who was promoted to counsel in April 2024, is a reliable choice of counsel across CIMA licensing and registration, economic substance, data protection, anti-money laundering and counter-terrorist financing; and the team strengthened in February 2024 with the hire of associate Wayne Flanagan.

Responsables de la pratique:

Róisín Liddy-Murphy


Autres avocats clés:

Robert Lindley;


Les références

‘The team are friendly and approachable. They made complex legal matters easy to understand and were always available to answer my questions.’

‘We worked with Roisin Liddy-Murphy the most. She gave practical, commercially-focused advice.’

‘The regulatory and compliance team has a depth and breadth of knowledge and expertise in the insurance and reinsurance industry that is unmatched. They are solution oriented because they know the full depth and breadth of the Cayman and international regulatory and compliance requirements so well. They are at the forefront of all regulatory and compliance developments and helpfully explain them in a non legal-jargon easily comprehensive and applicable manner.’

Principaux clients

Conyers Trust Company (Cayman) Limited


PwC (Cayman)


RBC Dominion Securities Global Limited and RBC Private Counsel (USA). Inc.


Blue Ocean Insurance Management Services Limited


Principaux dossiers


  • Advised Blue Ocean on an application to the Cayman Islands Monetary Authority for an insurance management licence.
  • Advised PwC (Cayman) on compliance with the proceeds of crime law, AML regulations and AML guidance on a range of matters.
  • Advising Conyers Trust Company (Cayman) on a transfer of trusteeship and change of jurisdiction for a discretionary trust that was originally registered as a reporting financial institution for both CRS and FATCA purposes in the BVI.

Mourant

Admired for its 'excellent understanding of their area of expertise', the regulatory and compliance law team at Mourant is a robust choice for the range of financial regulation matters, assisting investment funds and fund managers, fund administrators and banking businesses both within and outside the Cayman Islands. Two lawyers jointly coordinate the practice: the 'pragmatic and supportive' Sara Galletly, who is widely well regarded in the market, particularly for regulatory developments impacting fund, finance and corporate structures and regulated entities; and Catherine Pham, an investment funds specialist and leader of the wider corporate law practice. Litigation partner Hector Robinson KC is a contact to note in the contentious matters in this area, while Alastair Lagrange is the more junior lawyer to note.

Responsables de la pratique:

Sara Galletly; Catherine Pham


Les références

‘In addition to being highly competent in the Cayman economic substance rules, they are very well versed in global implications of OECD initiatives and provide timely and relevant feedback.’

‘They are incredibly responsive and provide practical solutions.’

‘Mourant’s team have very good professional and practical knowledge of economic substance in Cayman and are able to deliver their advice.’

Principaux dossiers


Ogier

Seen by one client as ‘refreshing in the industry‘, the regulatory and compliance offering at Ogier sees a sizeable group of dedicated experts on Grand Cayman assisting with core cases in the practice area, as well as aspects of complex cases, collaborating with the investment funds, banking, corporate, virtual assets and dispute resolution practices. The department is sub-divided into more specific aspects of regulatory law with corresponding group heads. Joanne Huckle serves as the chair of the broad regulatory team and is well recognised as one of the key names in the field on the island. For corporate regulatory, Martin Byers, who comes with client acclaim for being ‘fantastic to work with’, is the key figure. Banking regulatory is led by James Heinicke, while Jennifer Fox oversees contentious work in the area. Cline Glidden leads the local client regulatory sub-group, and at more junior level Megan Mcluskie stands out in the private wealth regulatory space.

Responsables de la pratique:

Joanne Huckle; Martin Byers; James Heinicke; Cline Glidden; Jennifer Fox


Les références

‘Very commercial and cost effective.’

‘Very accessible with commercially based advice.’

‘The team puts the client first. You see this in all their dealings with the clients. They are responsive, timely and sensible with their billing. They are refreshing in the industry. They have market leading expertise but are still happy to answer even the smallest and simplest of queries.’

Principaux clients

Nexo Capital Inc.


Principaux dossiers


Carey Olsen

A key port of call for banks, corporates, and investment managers, Carey Olsen’s broad caseload encompasses anti-money laundering and virtual asset regulation. The practice, which is praised for its ‘wealth of knowledge’ is led by Jarrod Farley, and he is notably experienced in the establishment of investment funds. Chris Duncan is lauded for his ‘expertise and attentiveness to clients’ and is proficient in cryptocurrency, digital asset, and FinTech matters. Other key members of the team include Richard Munden and Trevor McCabe.

Responsables de la pratique:

Jarrod Farley


Autres avocats clés:

Chris Duncan; Richard Munden; Trevor McCabe


Les références

‘They possess a wealth of knowledge of the Cayman regulatory framework. They are efficient and have excellent communication skills.’

‘Chris Duncan is well-known in the industry for his expertise and attentiveness to clients. Beyond that, he remains at the forefront of new legal developments and is extremely well-connected, enabling him to keep clients informed about the latest regulatory trends.’

‘Chris Duncan is a partner who provides exceptional service, bringing detailed knowledge of the blockchain industry and how it intersects with regulated activities in the Caymans.’

Principaux clients

Starknet Foundation


The Palekana Global Macro GP Ltd


The Palekana Global Macro Fund Ltd


The Palekana Global Macro Master Fund Ltd


Mauve


Principaux dossiers


  • Advised the Starknet Foundation on the launch of the STRK token.
  • Advised The Palekana Global Macro GP Ltd, The Palekana Global Macro Fund Ltd, and The Palekana Global Macro Master Fund Ltd on a global macro hedge fund.
  • Advised Mauve in its groundbreaking application for registration as a Virtual Asset Service Provider (VASP) by the Cayman Islands Monetary Authority (CIMA).

Appleby

Appleby is particularly proficient in a number of areas of regulatory law, including the insurance and reinsurance market, dealings with the CIMA, and the emerging technologies, virtual assets and data management sectors. Within that, data privacy and cybersecurity are notable strengths. Leading the practice group is Menelik Miller, who is well versed in assisting a diverse range of stakeholders in this area, from banks, investment firms and fiduciaries, to insurers, alternative lenders funds and fintech companies. Clients show great admiration for Miriam Smyth's 'incredibly valuable' regulatory and compliance practice, and she is a frequent advisor on complex cross-border issues, license applications, corporate governance, anti-money laundering, and financial institutions' M&A. Further key names include privacy and data protection specialist Peter Colegate, Simon Raftopoulos, who leads the local corporate law department, and Jacob MacAdam, who has a broad practice across financing and transactions.

Responsables de la pratique:

Menelik Miller


Les références

‘The Appleby team are approachable and have a good knowledge of the Cayman reinsurance industry which makes them a great legal service provider to clients in the industry. The firm has a good relationship with The Cayman International Reinsurance Companies Association (CIRCA), assisting CIRCA to make formal submissions on consultations to CIMA, the Ministry of Financial Services and Commerce & other government departments.’

‘I have worked with Miriam Smyth frequently who is incredibly responsive and supportive to our regulatory committee with her knowledge and experience. She is personable and approachable and always happy to assist with providing advice and practical solutions. Her involvement is incredibly valuable.’

‘Pragmatic, efficient, cost effective, and extremely responsible and knowledgeable. Miriam Smyth is extremely impressive, is qualified in multiple jurisdictions, and goes above and beyond on every assignment. Excellent knowledge and relationship with local regulators.’

Principaux clients

CME Group Inc


Norton Rose Fulbright (Toronto)


Greenlight Reinsurance Limited


RFA Capital Inc


Kasikornbank Public Company Limited


Queensgate


RF Bank & Trust (Cayman) Limited


The London & Amsterdam Trust Company Limited


Metagora


Leading international health care provider


Gearlay Inc.


Tailwater Capital


POPS Worldwide


Cayman International Reinsurance Companies Association (CIRCA)


Principaux dossiers


  • Acting for Greenlight Group on ongoing regulatory advice to ensure that the business in carried out in compliance with Cayman regulatory laws, regulations, rules and guidance issued by CIMA.
  • Advised RFA Capital Holdings on corporate and regulatory matters relating to its acquisition of a Cayman Islands based wealth and investment management group.
  • Assisting Canadian startup Gearlay with ongoing corporate, structuring and regulatory advice.

Campbells

Campbells is especially strong on the contentious side of regulatory matters and is the counsel of choice in such for numerous banks, investment funds, insurance companies and company service providers. CIMA enforcements, administrative fines, examinations, controllerships, appeals, and judicial reviews are all in the wheelhouse of the department that is co-headed by head of the litigation, insolvency and restructuring group, Guy Manning, and corporate practice leader Alan Craig. Another name to note on the contentious side is Paul Kennedy, while Jeremy Durston is a strong choice for cross-jurisdictional treaty requests and white-collar fraud mandates. James Austin-Smith is a further key figure.

Responsables de la pratique:

Guy Manning; Alan Craig


Les références

‘Good knowledge in this area.’

‘Jeremy Durston is standout – he has exceptional technical knowledge in this area, and has a good instinct for the points that are worth running.’

‘A very experienced team in a niche but fast growing area of the law.’

Principaux clients

Willis Towers Watson


Marsh McLennan


Deloitte


Cayman Islands Urgent Care, Kaiser Day Cannaceuticals


Libyan Investment Authority


Premier Assurance Group SPC, Beast Capital


Mark Graham


Alvarez & Marsal


Interpath


Principaux dossiers


  • Acted for Cayman Islands Urgent Care, T/A Doctors Express, Kaiser Day Cannaceuticals, and Kaiser Day Pharmaceuticals, which were the subject of regulatory and enforcement action by the medical regulatory authorities, HM Customs and Excise and the police.
  • Acted as Cayman Islands counsel for the Libyan sovereign wealth fund and various frozen Cayman subsidiaries in contentious and non-contentious matters.
  • Acted for an individual in Grand Court proceedings, appealing the decision notice to revoke a Class B insurer’s licence.