Sam's focus is on regulatory work (both advisory and contentious) for financial institutions and global investigations. Sam advises leading banks, funds, brokers, trading firms and other corporates on a range of advisory and contentious issues.

Sam has deep experience in the areas of cross border regulatory and exchange investigations and internal corporate investigations involving allegations of irregularities, bribery, corruption, money laundering, cybercrime, market abuse, insider dealing and other ethical issues. He is also on the FCA's Panel of Individual Skilled Persons for s.166 FSMA reviews relating to conduct.