
We are able to provide advice and assistance on a broad spectrum
of compliance and regulatory issues affecting both local and international
financial institutions. Our experience in these areas includes
the following: -
» Advising local institutions on issues arising with the
Cayman Islands Monetary Authority, including on-site inspections,
regulatory and disciplinary issues and the granting/revocation
of licences.
» Assistance to local financial institutions with issues
arising from suspicious transactions and the reporting of these
transactions to the reporting authority.
» Assistance with local or overseas requests which may
be made to financial institutions in the course of money laundering
investigations.
» Advice on due diligence procedures and practices to be
adopted in accordance with current legislation, regulations, written
guidance and industry best practice.
» Drafting of internal compliance manuals and assistance
with internal anti-money laundering training.