Rebecca Laban

Rebecca specialises in commercial litigation, dispute resolution and financial services regulation, and regularly acts for major financial institutions on a variety of litigious matters. With over 12 years of experience, Rebecca expertly supports her clients on a range of complex regulatory and disputes matters. Rebecca regularly presents to major financial institutions on regulatory reform, compliance […]

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Grant Moodie

Grant acts for a broad range of corporate and government clients with a particular focus on financial services and markets, regulated capital raisings and acquisitions. Grant has extensive legal and regulatory experience in relation to financial services and consumer credit licensing, financial markets, market integrity rules, regulated capital raisings, corporate governance and acquisitions. Before joining […]

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Daniel Maroske

Daniel is a Director in the Financial Service Regulatory team in Brisbane. He is a contentious regulatory specialist who assists both public sector and corporate clients in navigating regulatory and public law disputes across the financial services industry and government sectors. Daniel has over 14 years’ experience in both private practice and the public sector, […]

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Martin Nguyen

Martin specialises in structured debt funding, commercial property and corporate banking transactions and providing regulatory advice around National Credit Code compliance, unfair contract terms and general banking law. He undertakes work for a variety of lenders including all major banks, several challenger banks and private debt funders. Martin is a key client contact with many […]

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Kate Mills

Kate has broad experience in company mergers, acquisitions, contested takeovers (including Takeovers Panel matters), capital and debt raisings, continuous disclosure, and general corporate advisory work. Kate is a specialist in corporate governance and regulatory matters and investigations, including compliance and regulation of credit, financial markets and services, funds management, prudential and financial services executive accountability […]

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Liam Hennessy

Liam Hennessy specialises in compliance / risk matters, regulatory investigations and complex disputes. His practice focuses on financial services clients, and he has acted for banks, insurers and others in the financial services industry in a number of significant regulatory investigations, commissions of inquiry and class actions spanning multiple international jurisdictions. Liam’s experience covers long […]

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Edward Martin

Edward specialises in major, complex disputes and investigations and has extensive experience acting for corporates ranging from multinational and ASX listed companies to not-for-profits, as well as for government entities. Edward regularly advises on complex commercial disputes, contentious regulatory cases, investigations and commissions of inquiry, particularly those relating to the financial services, education and healthcare […]

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Kathy Merrick

Kathy specialises in commercial litigation, dispute resolution and corporate insolvency, and has extensive experience advising in relation to Australia’s largest corporate disputes, investigations and collapses. Her experience includes representing numerous organisations and individuals in connection with investigations by ASIC into alleged breaches of various Corporations Act and National Credit Code provisions including claims of insider […]

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Scott Couper

Scott specialises in insolvency, banking and finance litigation and commercial litigation. He acts for receivers, banks and financial institutions throughout Australia on matters ranging from the management and sale of property and assets to proceedings for the recovery of equipment, assignment of debt and security and defending litigious actions. He also acts for insolvency practitioners […]

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