Robust corporate governance compliance not only safeguards the interests of stakeholders but also contributes to the overall success and reputation of the company in an ever-evolving business landscape.
Our firm advises our clients on stakeholder trust, risk management, long-term sustainability and regulatory adherence. We advise on the preparation and implementation of compliance policies, anti-money laundering concerns, anti-bribery due diligence, confidentiality, adherence to applicable Singapore legislation and Monetary Authority of Singapore regulations, disclosure of shareholding interests in listed corporations, and prevention of insider trading.
公司管治和合规是公司发展业务及运营的一个关键方,其重点是确保董事和职员以透明和合乎道德的方式管理和控制公司。它涉及并需建立符合法律和监管要求的框架、政策和实践,促进组织各级的透明度、问责制和公平性。
稳健的公司管治及合规不仅保障了利益相关者的利益,也有助于公司在不断发展的商业环境中取得整体成功和声誉。
我们律所为客户提供利益相关者信任、风险管理、长期可持续性和遵守监管的建议。我们就合规政策的制定和实施、反洗钱问题、反贿赂尽职调查、保密、遵守适用的新加坡立法和新加坡金融管理局法规、披露上市公司的股权以及防止内幕交易提供建议。