Rob has been a lawyer since 2008 and joined our financial law practice in 2017. Prior to this, Rob worked as a lawyer within the banking finance team of another law firm.
Rob specialises in issues surrounding financial (supervisory) regulation. Rob assists his clients, including banks, payment institutions, insurers, brokers and other financial service providers, on issues concerning market access, financial regulatory strategies and supervision by DNB and AFM. In addition, Rob provides advice and support to his clients on issues relating to the Wwft.
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