We act for a wide range of businesses from the individual sole trader through to partnerships and companies, advising and representing them in matters concerning trading standards, health and safety, licensing, environmental health public inquiries.

From advising businesses on risk assessment policy and procedure through to drafting manuals and representing employers, employees, partners and directors at public inquiries, interviews and in court proceedings.

Law firms

The firm represents law firms facing investigation by the Solicitors' Regulation Authority and prosecution before the Solicitors' Disciplinary Tribunal; it also advises them on regulatory and compliance issues in general.

The firm's Head of Risk and Compliance, Brian Rogers, is part of the regulatory and compliance team and has written many articles on these subjects for the media; he is also a speaker with many law societies and professional groups around the country presenting seminars on topics such as:

  • Referral Arrangements
  • Law firm management
  • Risk Management
  • Solicitors' Code of Conduct
  • Business Continuity
  • Money Laundering