Team members’ experience includes:

  • Acting for an international business consultancy in relation to the management of risk and release/reliance issues including negotiations with a variety of Australian and international companies, private equity firms, financiers and insurers for multi-million dollar transactions
  • Advising the Board of a large international organisation on governance and compliance issues including the obligations of directors, financial reporting and requirements for meetings
  • Providing advice to an ASX 100 global mining company and major Australian financial institution in connection with their corporate and social responsibility programs
  • Advising a listed company in relation to equity participation, share buy-backs and redemption of preference shares
  • Acting in a large number of commercial M&A transactions including regulated transactions and transactions that require ACCC merger clearance
  • Advising an Industry Health Fund on the requirements of the Competition and Consumer Act 2010
  • Advising on aspects of Australian and international privacy legislation and investigations
  • Advising on international anti-bribery and corruption legislation
  • Advising Directors on issues that arise whilst they are on a Board or considering an appointment to a Board

Our senior practitioners sit on the Boards of many public and private organisations.