Corporate Crime & Compliance UK

  • August 15, 2024

    FCA Censures Audit Firm On Client Assets Report Breaches

    The Financial Conduct Authority said Thursday it has censured auditor Macintyre Hudson LLP for failing to report breaches of the FCA's rules on treatment of client assets.

  • August 15, 2024

    Hamlins Media Pro To Face SDT Over Alleged Litigation Threat

    A Hamlins LLP partner will face a disciplinary tribunal over allegations that he improperly threatened to bring litigation, the solicitors' watchdog has said, marking the second time the SRA has prosecuted a lawyer over the use of SLAPPs.

  • August 14, 2024

    NC Court Defers Ruling To Unseal Cadwalader Coverage Suit

    The North Carolina Business Court on Monday did not outright reject a bid by a Lloyd's of London syndicate looking to unseal a complaint by Cadwalader Wickersham & Taft LLP seeking coverage for a November 2022 data breach, though the judge did admonish the syndicate for failing to consult with Cadwalader's counsel before filing the motion.

  • August 14, 2024

    Mauritius Gov't Report On Lawyer's Conduct Was Unfair

    A Mauritian barrister can challenge a report that branded him a "spy" for drug traffickers, as the Judicial Committee of the Privy Council found on Wednesday that the principles of fairness and natural justice were not followed when those conclusions were reached.

  • August 14, 2024

    Tribunal Must Re-Try Harassment Win Against Now-Dead Boss

    An appellate tribunal has overturned a £19,000 ($24,400) payout made to an administrative assistant over claims of sexual harassment, ruling that her boss, who has since died, might have been too sick to defend himself at the time.

  • August 14, 2024

    EU Watchdog Sets Priorities For Bank Resolution Rules

    The European Union banking watchdog has found banks need to prepare better for the process of orderly failure known as resolution, including by obtaining more accurate data for assessing their financial positions.

  • August 14, 2024

    FCA Fines, Bans Consultant For Leaving Clients Uninsured

    The financial regulator said Wednesday that it has banned an insurance consultant from working in financial services and hit him with a fine of just over £5,000 ($6,430) fine for using funds from clients to pay his business and personal debts.

  • August 14, 2024

    Cypriot Forex Firm Fined For Exploiting Customers

    Britain's financial watchdog said Wednesday that it has hit Cypriot trading firm Forex TB Ltd. with a £276,100 ($355,000) fine for failing to treat customers fairly and providing unauthorized investment advice.

  • August 13, 2024

    Probe Unveils €500M Money-Laundering Group, Agency Says

    European and Brazilian authorities have searched multiple homes and frozen millions in assets during an operation investigating what is alleged to be an Italian mafia-run money-laundering network worth more than €500 million ($547.8 million), the European Union law enforcement agency Eurojust announced Tuesday.

  • August 13, 2024

    PA Forced To Visit Boss' Home During Lockdown Wins £115K

    Two hedge fund bosses must pay a former personal assistant over £115,000 ($147,468) after an employment tribunal found the businessman had asked her to unnecessarily go against COVID-19 restrictions by working from their homes.

  • August 13, 2024

    1st Sub-Class CPO Gives Funders Chance To Hedge Bets

    A recent decision by the U.K. antitrust tribunal makes it possible for litigation-funders to hedge their bets on complex competition disputes with rival sub-classes of claimants by allowing a truck-cartel claim to proceed after it tackled concerns about conflicts of interest by reshaping the financing arrangements that back the case.

  • August 13, 2024

    Firm Ex-Director Gets 15-Year Sanction For Investment Scam

    A former director of an investment firm has had a ban on working as a company executive extended to 2033 after he was convicted of a Ponzi scheme fraud at an English court, the U.K.'s Insolvency Service has said.

  • August 13, 2024

    UK Regulators Mull Digital Reporting Future Outside EU

    Britain's accounting watchdog on Tuesday proposed a number of potential reforms for the future of digital reporting in the U.K., amid recent legislative changes after the country's departure from the European Union.

  • August 12, 2024

    UK Railway Project Forced To Pay £6.2M Tax Bill

    A public agency building a high-speed railway in the U.K. had to pay a £6.2 million ($8 million) tax bill for failing to comply with "off-payroll rules" for the contracted employees it engages, according to the agency's annual report.

  • August 19, 2024

    Kirkland Hires Simmons & Simmons' Antitrust Head In London

    Kirkland & Ellis LLP announced Monday that it has recruited the head of competition, antitrust and trade at Simmons & Simmons LLP in a move to boost its capabilities representing clients in U.K. and European Union matters in its London office.

  • August 12, 2024

    Kuwaiti Diplomat's Maid Cannot Sue For Modern Slavery

    A Kuwaiti diplomat has won his bid to nix an employment claim brought by an employee for forced labor, with a tribunal finding that while her working conditions violated U.K. law, they did not amount to servitude.

  • August 12, 2024

    Spanish Lawyer Arrested For Alleged €4.5M Fishery Bribe

    The Spanish national police have arrested a lawyer who allegedly transferred €4.5 million ($4.9 million) through his own company to officials close to the Equatorial Guinea government to secure a factory contract, according to the European Union's law enforcement agency.

  • August 12, 2024

    EU Watchdog Warned Of Crypto Risk For Retail Funds

    Fund managers warned the European Union markets regulator Monday that there is no consensus on how to value crypto-assets, in a consultation on whether such products should be accessible to retail funds.

  • August 12, 2024

    Glencore Charges Tee Up 'Mother Of All' Disclosure Fights

    Charges brought by the Serious Fraud Office accusing former Glencore employees of bribery — including the commodities company's ex-head of oil — mark one of the biggest prosecutions the agency has taken on in years, which will test its resources and appetite for the toughest fights, lawyers say.

  • August 12, 2024

    Man Who Incited Violence Against Lawyers Gets 3 Years

    A man who incited violence online against immigration solicitors and asylum seekers has been imprisoned for more than three years.

  • August 09, 2024

    X Halts Training AI On EU Users' Posts After Irish Backlash

    X Corp., formerly known as Twitter, has agreed to suspend its efforts to train its artificial intelligence chatbot Grok on personal data lifted from public posts made by its users in the European Union, on the heels of Ireland's data protection commission making an urgent appeal to an Irish court to shut down the practice.

  • August 09, 2024

    Ex-Mozambique Finance Minister Convicted For $2B Scheme

    Mozambique's former finance minister was convicted of wire fraud and money laundering conspiracy charges in connection with his role in the $2 billion "tuna bonds" scandal, prosecutors announced.

  • August 09, 2024

    Conveyancing Firm Fined Over AML Failings

    An English solicitors firm has been fined £21,843 ($27,864) for failing to keep records required under anti-money laundering regulations, the Solicitors Regulation Authority said Friday.

  • August 09, 2024

    Kuwaiti Investment Arm Immune From Ex-CEO's Claim

    The Kuwait Investment Authority has succeeded in getting a whistleblowing claim from its former chief executive thrown out of a London tribunal after a judge ruled that he was employed as a diplomat, and therefore the authority has sovereign immunity against his claim.

  • August 09, 2024

    Landlords, Lawyers Accused Of Lying To Get Costs Ruling

    A man who was in a legal dispute over rent arrears has sued his landlord and the landlord's legal team for more than £147,500 ($187,383), alleging that two cost judgments were obtained by fraud.

Expert Analysis

  • BT Case May Shape UK Class Action Landscape

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    The first opt-out collective action trial commenced in Le Patourel v. BT in the U.K. Competition Appeal Tribunal last month, regarding BT's abuse of dominance by overcharging millions of customers, will likely provide clarification on damages and funder returns in collective actions, which could significantly affect the class action regime, say lawyers at RPC.

  • No-Poach Agreements Face Greater EU Antitrust Scrutiny

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    EU competition authorities are increasingly viewing employer no-poach agreements as anti-competitive and an enforcement priority, demonstrating that such provisions are no longer without risk in Europe, and proving the importance of understanding EU antitrust law concerns and implications, says Robert Hardy at Greenberg Traurig.

  • Key Points From EC Economic Security Screening Initiatives

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    Lawyers at Herbert Smith analyze the European Commission's five recently announced initiatives aimed at de-risking the EU's trade and investment links with third countries, including the implementation of mandatory screening mechanisms and extending coverage to investments made by EU companies that are controlled subsidiaries of non-EU investors.

  • Following The Road Map Toward Quantum Security

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    With the Financial Conduct Authority’s recent publication of a white paper on a quantum-secure financial sector, firms should begin to consider the quantum transition early — before the process is driven by regulatory obligations — with the goal of developing a cybersecurity architecture that is agile while also allowing for quantum security, say lawyers at Cleary.

  • Why EU Ruling On Beneficial Ownership May Affect The UK

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    Following the EU judgment in Sovim v. Luxembourg that public access to beneficial ownership information conflicts with data protection rights, several British overseas territories and dependencies have recently reversed their commitment to introduce unrestricted access, and challenges to the U.K.’s liberal stance may be on the cards, says Rupert Cullen at Allectus Law.

  • UK Gov't Response Clarifies AI Regulation Approach

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    Although the U.K. government’s recent response to its artificial intelligence consultation is a clear signal of its continuing pro-innovation approach to AI regulation, high-level systems are likely to be the focus of scrutiny and organizations may consider reviewing measures they have implemented to help identify risks, say Christopher Foo and Edward Machin at Ropes & Gray.

  • Key Changes In FRC Code Aim To Promote Good Governance

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    The focus of the recently published Financial Reporting Council Corporate Governance Code on risk management and internal controls is to ensure the competitiveness of the U.K. listing regime while not compromising on governance standards, and issuers may wish to consider updating their policies in order to follow best practice, say lawyers at Debevoise.

  • Ruling In FCA Case Offers Tips On Flexible Work Requests

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    In Wilson v. Financial Conduct Authority, the Employment Tribunal recently found that the regulator's rejection of a remote work request was justified, highlighting for employers factors that affect flexible work request outcomes, while emphasizing that individual inquiries should be considered on the specific facts, say Frances Rollin, Ella Tunnell and Kerry Garcia at Stevens & Bolton.

  • EU Vote Delay Puts Course Of Sustainability Directive In Doubt

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    With time to adopt the proposed EU Corporate Sustainability Due Diligence Directive during this Parliamentary term running out, and with upcoming elections threatening political uncertainty, the degree of compromise that may be needed to secure a "yes" vote now could undermine the shift the legislation seeks to achieve, say lawyers at Simpson Thacher.

  • Full EU Import Border Controls Pose Hurdles For UK Cos.

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    The U.K.’s long-anticipated introduction of full border controls on imports of goods from the EU, due to complete by the end of 2024, brings the system broadly into line with goods imported from the rest of the world, but may result in delays, increased costs and disruption as businesses adapt, say Ben Chivers and Jonathan Rush at Travers Smith.

  • Cos. Should Review Cookie Compliance After ICO Warnings

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    The Information Commissioner's Office recently restated its intention to take enforcement action on the unlawful use of nonessential cookies, and with the additional threat of public exposure and reputational damage, organizations should review their policies and banners to ensure they comply with data protection legislation, says Murron Marr at Shepherd & Wedderburn.

  • New Fraud Prevention Offense May Not Make Much Difference

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    By targeting only large organizations, the Economic Crime Act's new failure to prevent fraud offense is striking in that, despite its breadth, it will affect so few companies, and is therefore unlikely to help ordinary victims, says Andrew Smith at Corker Binning.

  • Mitigating And Managing Risks Of AI Use In Private Equity

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    While generative artificial intelligence has the ability to transform private equity firms and their portfolio companies, its deployment brings inherent risks, including those presented by the forthcoming EU AI Act, requiring appropriate risk management strategies, processes and policies to be adopted, says Barry Fishley at Weil.

  • Vodafone Decision Highlights Wide Scope Of UK's FDI Rules

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    The U.K. government’s recently imposed conditions required for its approval of Vodafone and Etisalat’s strategic relationship agreement under its National Security and Investment Act jurisdiction, illustrating the significance of the act as an important factor for transactions with a U.K. link, says Matthew Hall at McGuireWoods.

  • Decoding UK Case Law On Anti-Suit Injunctions

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    The English High Court's forthcoming decision on an anti-suit injunction filed in Augusta Energy v. Top Oil last month will provide useful guidance on application grounds for practitioners, but, pending that ruling, other recent decisions offer key considerations when making or resisting claims when there is an exclusive jurisdiction clause in the contract, says Abigail Healey at Quillon Law.

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