Charlie is an experienced solicitor whose practice focuses on regulatory and internal investigations, financial services litigation, professional negligence disputes and regulatory compliance. Charlie previously worked within the Enforcement and Litigation Team at the Bank of England on a number of significant PRA investigations and policy. In private practice, he has advised regulated firms and individuals and has also worked within the litigation and regulatory teams of several global banks. Charlie’s practice frequently requires him to advise individuals who are the subject of regulatory investigations. He also works closely with regulated firms’ senior management, General Counsel, in-house legal teams and HR directors as well as compliance and press teams.