Compliance and internal investigations

Compliance Programs (Sapin II; FCPA/UKBA; AML/CFT; Duty of Vigilance; Export Control)

  • Risk mapping (corruption; influence peddling; illegal taking of interest; favoritism; fraud; conflicts of interest; AML/CFT; international sanctions);
  • Whistleblower systems (implementation or compliance with the Waserman Act and Decree, and handling of alerts as an external service provider);
  • Third-party due diligence procedures; KYC/KYS;
  • Procedures for sales consultants;
  • Acquisition or divestiture audits;
  • Code of conduct, ethics charter;
  • Structuring of governance bodies;
  • Reviewing and drafting of protective contractual clauses;
  • Training for at-risk personnel.

Internal investigations 

  • Corruption; fraud; embezzlement; misuse of corporate assets; harassment: development of investigation procedures;
  • Interviews with witnesses and suspects;
  • Collection and analysis of documentary evidence (in partnership with forensic specialists for digital evidence);
  • Drafting of the investigation report.

Inspections by regulatory authorities (AFA; AMF; ACPR and DGCCRF)

  • Responses to questionnaires;
  • Collection and coordination of documentation submission both prior to and during the adversarial phase; 
  • Preparation for interviews; 
  • Representation before sanctions committees. 

Crisis management

  • Legal and strategic support in managing crisis situations;
  • Development and implementation of appropriate internal and external communication strategies. 
Browser not supported

The Internet Explorer browser you are currently using does not display this website correctly.

We recommend that you download and use a more recent and secure browser such as Google Chrome , Microsoft Edge , Mozilla Firefox , or Safari (for Mac) for example.
OK