Regulatory Disputes Associate
Listed on 2026-01-11
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Law/Legal
Regulatory Compliance Specialist
Role profile
We are seeking an Associate to join our highly regarded Regulatory Disputes team, with a primary focus on regulatory compliance and investigations across complex, high-impact matters for leading businesses. The successful candidate will play a key role in advising on non-contentious compliance frameworks (including Anti-Bribery & Corruption (ABC), Failure to Prevent Fraud (FTPF), Modern Slavery and Health and Safety), and guiding clients through investigations, enforcement, and related contentious processes.
TheWork
The team acts across the full lifecycle of regulatory risk, advising on preventative compliance, internal and external investigations, engagement with regulators, and—where needed—robust representation in enforcement and related proceedings.
The key focus of this role is on advising and supporting clients on the following areas:
- ABC, FTPF and Modern Slavery
—advising on policies, procedures and risk assessments as well as working on related investigations (advising on investigation strategy, responding to regulatory information requests, preparing clients and witnesses for interviews, managing document reviews and disclosure, and coordinating with technical experts and in‑house teams) and due diligence support. - Health and Safety
—non-contentious advisory support to clients across a range of health and safety, building safety and fire safety topics including legal duties and standard advice, training and policy support; crisis/ contentious support following incidents or regulatory investigations including internal investigations, regulator engagement, witness interviews, managing disclosure requests, interviews under caution and prosecutions and related court hearing; and due diligence support.
The successful candidate will be comfortable navigating evolving regulatory frameworks and providing concise, commercially grounded guidance under time pressure.
Experience across our other specialisms—healthcare/ life sciences regulation, product and consumer regulation, digital regulation and/or environmental litigation—would be beneficial, including both advisory and contentious mandates, but is not essential. In these areas, our practice supports clients with compliance, risk assessments, regulator engagement, and complex contentious matters, and we operate seamlessly across multi-disciplinary and cross-office teams to deliver integrated solutions.
The TeamOur Regulatory Disputes team sits within our Disputes & Risk practice and is nationally led, working cross-office with a collaborative culture and clear opportunities for responsibility and client exposure. We pride ourselves on a supportive, high-performing environment that values initiative, business development contributions, and strong client care.
Illustrative Work Examples- Undertaking multi-jurisdictional anti-bribery and fraud risk assessments for significant multi-national clients, and assisting the client in implementing changes to mitigate those risks.
- Preparing Transparency in Supply Chain statements for clients.
- Playing a key associate role in a fraud investigation including project management, review of documents, preparation for interviews and supporting in report drafting.
- Advising a tech client in relation to criminal law risks adjacent to duties under the Online Safety Act.
- Training clients on the new Terrorism (Protection of Premises) Act and other broader Directors Duties advice.
- Playing a key associate role in strategic multi-jurisdictional compliance advice for an international retail client, covering a number of compliance risks. Tasks included instructions to other jurisdictions, collating advice, drafting advice in relation to overall strategy and specific risks.
- On-going support advising a global aviation client on the development and implementation of their compliance systems.
- Advising a renewable energy client on risk and supporting in investigation following a H&S incident in their supply chain.
- Working with clients in key regulated sectors, including energy and utilities, transport, real estate/retail, technology/media, and life sciences and healthcare, reflecting our sector-led approach to regulatory risk.
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