Cases
Experience: Representative Matters: Representing Tradition Financial Services in defending a claim for dishonest assistance brought against various financial institutions following VAT carousel fraud in the trading of EUAs (carbon credits) in 2009. The trial is listed for 2021.
Defended Tradition (UK) Limited, in a team move case
a case involving competitor confidential information. An application by Tradition to secure disclosure of a copy of a settlement agreement entered into between the Claimants
a co-Defendant resulted in a widely reported judgment of the Court of Appeal on the application of litigation privilege
without prejudice privilege in the context of settlement agreements ([2019] EWCA Civ 1937).
Represented American Express in connection with alleged technical defects in a default notice served pursuant s.87(1) of the Consumer Credit Act 1974.
Defended joint FCA/SFO proceedings on behalf of a senior board member of an international bank regarding matters dating back to the financial crisis
advising in connection with connected High Court claim.
Defended senior board member of a major UK bank in connection with a joint FCA/PRA investigation regarding the bank's collapse in 2008.
Advised SMF holder at a private bank in relation to an FCA investigation into alleged misconduct.
Advised senior FX trader in relation to concurrent internal, FCA, Fed, DOJ
ACCC investigations.
Advised Compliance Officer in respect of FSA Insider Dealing investigation.
Advised desk head in connection with an internal investigation into trading practices of his team
associated compliance issues.
Advised multiple traders at a number of international banks in relation to benchmark rigging investigations, including preparation for
attendance at interviews.
Advised UK based trader in relation to an investigation by the Chicago Mercantile Exchange (CME) regarding allegations of wash trading, including preparation for interview
advising on regulatory consequences in the UK.
Advised firms in relation to change of control issues, including changes made without prior regulatory approval
consequences of late notification.
Advised firms in relation to a range of regulatory notification requirements
potential risks
liabilities arising (issues including risks associated with shareholder activism, market abuse
other potential regulatory breaches).
Advised in respect of s.393 (third party rights) issues.
Advised individuals in relation to non-routine applications for regulatory approval, bad leaver notifications, regulatory reference issues
other notification requirements.
Provided regulatory advice to regulated individuals in the course of internal disciplinary proceedings
employment tribunal proceedings, including in relation to alleged regulatory
/or internal policy breaches, confidentiality issues
whistleblowing.
Advised in relation to claims to the FSCS / FOS
defending FOS complaints on behalf of firms.
Advising investors in respect of > 1m IFA investment fraud, including working closely with the Police, Insolvency Service
Appointed Liquidator.
Advising in respect of s.138D claims for breach of statutory duty.
Advising in respect of IRHP claims (claimant).
Advising international credit provider in respect of multiple debtor actions
defence of s.75 CCA claims.
Advising Appointed Representative in a dispute with its Principal regarding scope of permissions.
The above representations were h
led by Katharine prior to her joining Greenberg Traurig, LLP.
Previous Experience: Silver Circle U.K. firm 2010 - 2020
Managing Associate
Associate