We advise both private and public (whether listed or non-listed) companies on corporate governance and compliance issues to help them acclimatise and thrive in a regulatory landscape that is becoming increasingly complex.
Besides providing general advice on director duties and corporate secretarial matters, we help our clients better appreciate the licensing and compliance regimes applicable to the industries that they operate in and review our clients’ administrative and operational procedures for consistency with industry standards.
Rankings Received From Professional and Commercial Publications In 2020
The Singapore Exchange Regulation recently announced changes to two key aspects of the voluntary delisting rules to enhance the protection of minority shareholders during voluntary delisting from SGX-ST. These changes, which are effective from 11 July 2019, are summarized in this article.
The Corporate Governance, Compliance and Regulatory Team
Ravi has 32 years of legal experience. He specialises in corporate advisory and provides legal advice to directors and CEOs on laws and rules relating to directors’ duties and corporate governance. He has a wealth of experience in advising local and regional companies on investment agreements, joint ventures, and corporate structures.
Lorraine is experienced in advising clients, comprising start-ups and SMEs to multinational firms, on general corporate legal matters, including compliance with applicable laws. She has reviewed a variety of commercial contracts such as distributorship and service agreements and terms and conditions and has broad experience in joint ventures and mergers & acquisitions transactions in various industries.
Ellie is in the firm’s Corporate Finance team and was admitted to practise as a solicitor in Hong Kong in 2013. she has been involved in various initial public offerings and listings on The Stock Exchange of Hong Kong Limited and has advised issuers, sponsors and underwriters.