Compliance & Regulatory

Our practice group specializing in compliance and regulatory possesses a wealth of knowledge and expertise in a variety of areas, including compliance, risk management, sustainability, data protection, whistleblowing, internal investigations, export controls, and sanctions. We take pride in delivering practical and straightforward solutions for complex cases, while also providing valuable legal counsel to our clients.

As regulatory requirements continue to impact a growing number of organizations and become increasingly intricate, compliance concerns have become increasingly pertinent for the majority of our clients. Our steadfast objective is to simplify compliance-related issues for our valued customers.

Our client base is diverse and includes municipalities, regions, small businesses in expansionary phases, privately owned companies, publicly traded companies, and global corporations. We offer a wide range of services, including:

  • Designing and implementing compliance programs
  • Whistleblowing and handling matters of public interest, including the establishment of an internal reporting channel
  • Data protection services such as analyzing data flows and role assignments, conducting impact assessments, balancing interests, creating data processing agreements, and advising on third-party transfers
  • Regulations related to money laundering and the financing of terrorism
  • Sanctions and export controls
  • Corporate Social Responsibility (CSR) related issues
  • Issues related to working conditions and workplace crimes
  • Conflict of interest management
  • Anti-corruption.

Workshops and seminars

We regularly host workshops and seminars within the field. To stay informed, be sure to follow us on LinkedIn.

Contact us if you would like more information

Kerstin Eifrém (group manager), Nicklas Lång, Elsa Elmgren Stenkula, Sofia Persson, Shkurta Pepaj