Sylvia is a senior solicitor in the firm's Financial Services Regulatory team. Sylvia joined the firm in 2021 having trained at a mid-size firm.
Sylvia works with clients across a broad range of sectors and has a particular interest in financial crime, AML and risk generally, having spent 4 years working as a compliance professional at an international firm, prior to qualification.
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Client categorisation: a reset, not a relaxation
11/12/2025
The FCA’s proposals to overhaul the elective professional client regime represent one of the most significant changes to UK conduct regulation since Brexit.
The CCI Regime: five strategic questions every firm should be asking
09/12/2025
The FCA’s new Consumer Composite Investments Framework is more than a compliance exercise. In light of this, Jamie Gray explores five strategic questions that every firm should be asking.
What the UK’s new Financial Inclusion Strategy means for financial services firms
28/11/2025
This briefing summarises the key points and outlines the implications for banks, fintechs, insurers, credit unions, employers, and other financial services stakeholders.
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