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Financial Services UK
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October 29, 2025
Iraqi Fails To Block Kuwait Extradition Over £243M Fraud
An Iraqi national wanted in Kuwait over an alleged £243 million ($322 million) property fraud has failed to challenge his extradition, as a court found Wednesday that it was the correct move amid strong public interest in the U.K. honoring its international obligations.
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October 29, 2025
Fired Bank of Africa Whistleblower Argues UK Arm Is Liable
The former head of human resources for Bank of Africa argued Wednesday that a London tribunal had rightly held the lender's U.K. arm liable for her firing and mistreatment for whistleblowing, as she fought its appeal against the ruling.
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October 29, 2025
CMA Finalizes Updates To Simplify Phase 1 Merger Probes
The Competition and Markets Authority has finalized a series of updates to its merger control processes, aiming to make its reviews faster, clearer and more predictable to help make the U.K. more business-friendly.
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October 29, 2025
Firms That Overstate AI Capabilities Face Risks, Insurer Warns
Companies that over-hype the impact of new artificial intelligence technologies on their business could face potential shareholder or regulatory action down the road, an insurer warned.
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October 29, 2025
Santander Asks UK To Act Over Motor Compensation Program
Santander UK called on the government on Wednesday to intervene in the Financial Conduct Authority's proposed £11 billion ($14.5 billion) car finance compensation scheme, claiming it could harm consumers and the economy.
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October 29, 2025
TPT Appoints All-Female Trustee Board For New Pension Plan
TPT Retirement Solutions said Wednesday it has appointed an all-female board of trustees for its multi-employer collective defined contribution pension savings plan.
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October 29, 2025
Standard Life Says Millions Have Lost Track Of Pension Pots
Millions of savers could be missing out on valuable retirement funds, Standard Life said Wednesday, as new research revealed widespread confusion and neglect around workplace pensions.
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October 29, 2025
Norton Rose, Stephenson Guide Digital Assets Biz On Listing
Digital asset company KR1 PLC has unveiled plans to shift its listing on the Aquis Stock Exchange to the main market of the London Stock Exchange, in a bid to broaden its investor base.
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October 29, 2025
London Court Backs Corpay's £1.6B Deal For Alpha Group
A London court has given the green light to the £1.6 billion ($2.1 billion) acquisition of foreign exchange platform Alpha Group International PLC by Corpay Inc., paving the way for the deal to complete.
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October 29, 2025
Top UK Court Rules NHS Parking Services Subject To VAT
Britain's top court ruled Wednesday that provision of car parking services by a National Health Service trust should not be exempt from value-added tax, a decision that will affect dozens of stayed appeals by NHS entities worth up to £100 million ($132 million).
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October 28, 2025
Finance Pros Accused Of Diverting £14M From Libyan Fund
The former head of a U.K. fund manager and a Swiss banker pocketed millions of dollars in improper fees from a Libyan sovereign wealth fund, prosecutors told a London court on the first day of the trial on Tuesday.
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October 28, 2025
Dubai Trader Says Iran Sanctions Don't Block $16M Payment
A Dubai-based petroleum products trader accused a U.K. broker on Tuesday of wrongly withholding $16.5 million from its cash account due to U.S. sanctions targeting Iran, at the beginning of a London trial.
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October 28, 2025
UK Gov't Told To Reconsider Pension 'Triple Lock' Pledge
Britain's policymakers should establish a clear adequacy level for the state pension so it meets minimum income standards for retirement before potentially abandoning the triple lock policy for a more sustainable system, a trade body has said.
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October 28, 2025
Bank Of Africa Fights To Overturn Whistleblower's Win
Bank of Africa sought on Tuesday to overturn a ruling that its former head of human resources was fired for whistleblowing, telling the Employment Appeal Tribunal that a lower court had made findings "it could not have possibly reached."
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October 28, 2025
UK, Swiss Agree To Extend Lawyers' Visa-Free Work Deal
Britain and Switzerland said Tuesday they have signed a four-year extension to an agreement that allows U.K. lawyers to continue to work in the European country for up to 90 days without the need for a visa or work permit.
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October 28, 2025
FCA Drafts Policy On Emergency Short-Selling Powers
The Financial Conduct Authority released a draft policy on Tuesday on how it would use its "emergency powers" to stop or restrict short selling, in a new regime that will anonymize individual major short sellers.
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October 28, 2025
Hogan Lovells Guides Royal London's £16M Pension Deal
Insurer Royal London said Tuesday that it has covered £16 million ($21 million) of pension liabilities for British door manufacturer Premdor Crosby.
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October 28, 2025
UK To Regulate ESG Ratings In Push For Market Transparency
The government has introduced legislation that will bring providers of environmental, social and governance ratings under the regulatory remit of the Financial Conduct Authority.
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October 28, 2025
Cleary Helps Barclays' $800M Deal To Buy US Loan Originator
Barclays PLC said Tuesday that it plans to acquire U.S. personal loan originator Best Egg Inc. for $800 million to help boost its customer lending business in America.
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October 27, 2025
Tom Hayes Slaps UBS With $400M Malicious Prosecution Suit
Former UBS trader Tom Hayes has filed a $400 million suit against his old employer, claiming the company "maliciously" framed him as the "evil mastermind" behind the company's Libor scandal despite the fact that he was explicitly directed to try to influence Libor submissions while at UBS.
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October 27, 2025
Trian, General Catalyst Make $7.2B Play For Janus Henderson
Janus Henderson Group said Monday it has received a $7.2 billion buyout offer from Trian Fund Management LP and General Catalyst Group Management LLC, which say the British asset management firm could more effectively achieve its goals as a private company.
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October 27, 2025
Accounting Firm Denies Liability For Investor's £633K Tax Bill
An accountancy firm has denied an investor's accusations that it was negligent in giving tax planning advice that resulted in him being hit with a £633,000 ($844,217) liability assessment, saying he had failed to distinguish between two tax schemes.
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October 27, 2025
Deutsche Bank Says Conviction Voids Ex-Trader's £12M Claim
Deutsche Bank has denied liability in a £12 million ($16 million) claim from a former trader convicted of tricking market competitors through a "spoofing" scheme, arguing it had no duty to prevent him from suffering loss resulting from committing fraud.
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October 27, 2025
Finance Sector Asks BoE To Clarify Settlement Extensions
A financial trade body warned the Bank of England on Monday to clarify its roadmap for extending settlement times on high-value CHAPS payments and to improve technical support if the system is to work.
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October 27, 2025
Director Misused Confidential Info To Market Tax Scheme
A London court has ruled that the director of a tax-efficient investment product company misused confidential information by taking features of an accountant's money-saving tax structure to market in breach of a nondisclosure agreement.
Expert Analysis
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Embedding Consumer Duty: 6 Areas Firms Should Prioritize
The Financial Conduct Authority has repeatedly emphasized that complying with the Consumer Duty is not a tick-box exercise but an ongoing responsibility, so firms need to show that the duty is at the heart of their practices by staying compliant in areas from cultural change to customer vulnerability, say Nicola Higgs and Becky Critchley at Latham.
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2 UK Rulings Highlight Persistent Push Payment Fraud Issues
Two recent High Court decisions, Larsson v. Revolut and Terna DOO v. Revolut, demonstrate that authorized push payment fraud continues to cause headaches for consumers and financial institutions alike, and with forthcoming mandatory reimbursement requirements, more APP fraud litigation can be expected, say lawyers at Charles Russell.
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Open Questions 3 Years After 2nd Circ.'s Fugitive Ruling
The Second Circuit’s 2021 decision in U.S. v. Bescond, holding that a French resident indicted abroad did not meet the legal definition of a fugitive, deepened a circuit split on the fugitive disentitlement doctrine, and courts continue to grapple with the doctrine’s reach and applicability, say attorneys at Lankler Siffert.
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Key Points From UK Prospectus Regime Reform Consultation
The Financial Conduct Authority's current consultation on U.K. prospectus regime reform proposals, including when a prospectus will be required and the requirements concerning content, is designed to enhance the attractiveness of the U.K.'s capital markets, say lawyers at Sullivan & Cromwell.
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Why NCA's 1st Seizure Of Sanctioned Funds Is Significant
The National Crime Agency’s recently secured forfeiture of a Russian oligarch's sanctioned funds was a landmark achievement, and is particularly notable because it was made under the Proceeds of Crime Act, illustrating how U.K. authorities can coordinate their respective powers to confiscate assets, says Lindsey Cullen at WilmerHale.
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Takeaways From New FCA Rules On Research Payments
The Financial Conduct Authority’s recently published final rules on payment optionality for investment research, which involve a client disclosure obligation option, will be welcome news for U.K. managers who buy investment research from U.S. brokers, and for global asset management groups, says Anna Maleva-Otto at Schulte Roth.
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What To Expect From Labour's Pension Schemes Bill
The Labour government’s recently announced Pension Schemes Bill, outlining key policy areas affecting the retirement savings sector, represents a positive step forward for both defined contribution scheme members and defined benefit superfunds, but there are some missing features, says Sonya Fraser at Arc Pensions.
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Int'l Treaties May Aid Investors Amid UK Rail Renationalization
The recently introduced Passenger Railway Services Bill seeks to return British railways to public ownership without compensating affected investors, a move that could trigger international investment treaty protections for obligation breaches, says Philipp Kurek at Signature Litigation.
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What EU Opinion May Mean For ESG Product Classification
The recently issued European Supervisory Authority opinion on the Sustainable Finance Disclosures Regulation offers key recommendations, including revising the definition of sustainable investments and making principal adverse impacts consideration mandatory, that could sway the European Commission’s final approach to product classification, say lawyers at Debevoise.
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What New UK Listing Rules Mean For Distressed Companies
The Financial Conduct Authority’s recently published overhaul of U.K. listing rules makes it easier for advisers to restructure distressed listed companies, and in moving to a more disclosure-based approach, simplifies timelines and increases opportunities for investors, say Kate Stephenson and Sarah Ullathorne at Kirkland & Ellis.
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AI Reforms Prompt Fintech Compliance Considerations
With the EU Artificial Intelligence Act's Aug. 1 enforcement, and the U.K.'s new plans to introduce AI reforms, fintech companies should consider how to best focus limited resources as they balance innovation and compliance, says Nicola Kerr-Shaw at Skadden.
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Irish Businesses Should Act Now To Prepare For EU AI Act
Artificial intelligence is increasingly transforming the Irish job market, and proactive engagement with the forthcoming European Union AI Act, a significant shift in the regulatory landscape for Irish businesses, will be essential for Irish businesses to responsibly harness AI’s advantages and to maintain legal compliance, say lawyers at Pinsent Masons.
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EU Investment Fund Standards Offer Welcome Clarity
The European Commission’s recently published regulatory technical standards for long-term investments, which granted managers greater flexibility with respect to open-ended European long-term investment funds, should help managers active in the space navigate the mandatory liquidity requirements for long-term investment funds, say Zac Mellor-Clark and Nishkaam Paul at Fried Frank.
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Unpacking The New Concept Of 'Trading Misfeasance'
In addition to granting one of the largest trading awards since the Insolvency Act was passed in 1986, the High Court recently introduced a novel claim for misfeasant trading in Wright v. Chappell, opening the door to liability for directors, even where insolvent liquidation or administration was not inevitable, say lawyers at Greenberg Traurig.
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Key Takeaways From Proposed EU Anticorruption Directive
The European Commission's anticorruption proposal, on which the EU Council recently adopted a position, will substantially alter the landscape of corporate compliance and liability across the EU, so companies will need to undertake rigorous revisions of their compliance frameworks to align with the directive's demands, say lawyers at Linklaters.