is global head of the regulatory and risk advisory practice group in the Cayman Islands office and has more than 17 years’ experience as a specialist financial regulatory and risk management advisory lawyer. Her clients are international and domestic financial institutions, including banks, investment funds, administrators, investment managers, advisers, broker dealers, arrangers, trading venues, and insurance and reinsurance sector clients. Lucy is also a member of the fintech team, providing strategic advice, regulatory gap analysis and regulatory impact assessments to the full range of financial regulatory applications and notifications, as well as areas such as financial regulatory compliance, anti-money laundering and counter-terrorist financing requirements, the CRS and FATCA. She is a member of the Cayman Finance Smart FinTech Regulations Subcommittee, the Cayman Finance Digital Funding and Investing Subcommittee, and the Cayman Islands Financial Services Legislative Subcommittee for Fintech.
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