is an associate based in the Cayman Islands office in the regulatory and risk advisory group, and a member of the re/insurance team. Colm regularly acts for major investment banks, investment managers, other service providers and insurers, advising on a comprehensive range of regulatory matters. He has experience across regulated financial services providers, having spent secondment periods in the banking and investment sectors, in addition to general regulatory work such as regulatory permissions and changes of control notifications on multi-jurisdictional projects, and preparing applications for banks, payment institutions, electronic money institutions, investment managers and advisers, and fund administrators. Colm has also worked with international insurers, particularly regarding the life insurance and insurance wrapped investments aspects of their businesses, on authorisations and ongoing regulatory compliance requirements, and on regulatory approvals and transactions involving insurers and reinsurers.
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