Adrienne has extensive experience in regulatory compliance, investigations and disputes. Adrienne advises clients on the compliance requirements of various regulatory regimes in Canada, including anti-money laundering, anti-terrorist financing, economic sanctions legislation applicable to financial transactions, privacy legislation, and securities legislation, including exempt market compliance requirements of provincial and territorial securities commissions.

Adrienne also represents clients in their dealings with regulators and has represented clients before the Alberta Securities Commission (ASC), the Ontario Securities Commission, The British Columbia Securities Commission, the Investment Industry Regulatory Organization of Canada and the Mutual Fund Dealers Association of Canada.

As former counsel at the ASC, Adrienne prosecuted serious ‎securities offences, appearing before the Provincial Court of Alberta, the Alberta Court of Appeal and before the regulatory tribunals of the ASC.