Business
Fenwick Enhances Corporate Compliance Amid Regulatory Scrutiny
In an era marked by increasing scrutiny from governments and regulators, corporations—both established and emerging—are turning to Fenwick for guidance. The firm specializes in navigating high-stakes white-collar criminal cases and regulatory investigations, ensuring that clients remain compliant in a shifting regulatory landscape.
Fenwick’s multidisciplinary team is equipped with expertise from various sectors, including former senior assistant U.S. attorneys and U.S. Department of Justice trial attorneys. This blend of experience allows them to provide insightful guidance on internal investigations and represent clients across all stages of criminal and civil enforcement proceedings.
Among the organizations Fenwick collaborates with are the U.S. Securities and Exchange Commission, the Commodity Futures Trading Commission, and the Financial Industry Regulatory Authority. Given their extensive knowledge of enforcement priorities, the firm is especially beneficial to growth-stage startups that are either planning for an IPO or seeking acquisition opportunities.
Furthermore, Fenwick assists corporations in developing robust compliance programs and internal controls. These initiatives not only remedy existing problems but also proactively prevent future misconduct, aligning with regulators’ expectations.
The firm’s approach integrates various practices, including securities litigation and investigations, allowing them to address a wide range of matters effectively in dynamic regulatory environments. This comprehensive strategy sets Fenwick apart in the field of corporate compliance.