Mathew Rutter

Partner

London

Mathew has experience of a wide range of regulatory issues as they affect life and general insurers, brokers, banks, wealth managers and other financial institutions.

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About Mathew

Bio
  • Biography

    Mathew has experience of a wide range of regulatory issues as they affect life and general insurers, brokers, banks, wealth managers and other financial institutions. His areas of expertise include prudential and conduct of business regulation, market abuse and insider dealing issues, the Bribery Act, money laundering, financial promotions, consumer credit, TCF, unfair terms in consumer contracts and MiFID.

    He regularly advises on transactions in the regulated sector, including Part VII transfers, and on change of control issues. He also advises on new authorisations and perimeter issues over whether authorisation is required.

    Also, Mathew advises regulated firms on corporate matters, such as outsourcing arrangements, joint ventures, and shareholders or LLP agreements, and on corporate governance and the application of the UK's Senior Managers' Regime to banks and insurers.

    In 2014, he also acted on the first successful judicial review of the Financial Ombudsman Scheme in over ten years.

    Mathew regularly writes articles and gives talks on regulatory issues, and has appeared on radio and television discussing regulatory developments.

    Endorsements

    "DAC Beachcroft LLP’s team head Mathew Rutter has ‘incredible knowledge of insurance regulatory issues’." Legal 500 2016, Financial services (non-contentious/regulatory)

Sector Expertise
  • Insurance

Service Expertise
  • Commercial Contracts

Office Location

London Skyline

London

  • 25 Walbrook
  • London
  • EC4N 8AF

+44 (0) 207 242 1011

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Articles

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Financial Services

3 min read

Skilled person review

Insurance

5 min read

Insurance wordings and implementation of the Consumer Duty: a view from the FCA

Financial Services

14 min read

Asset management regulation 2024 – FCA Sustainability Disclosure Requirements

Financial Services

8 min read

The FCA's anti-greenwashing rule – impact on insurers

Data, Privacy and Cyber

2 min read

ICO Preliminary Enforcement Notice Against Snap

Data, Privacy and Cyber

7 Min Read

The proposed ban on cold calling: what will it mean for regulated firms?

Financial Services

10 Min Read

It’s not easy being green – why the FCA’s anti-greenwashing proposals need a rethink

Financial Services

12 Min Read

The future of UK asset management regulation – the FCA’s Discussion Paper 23/2

Insurance

5 Min Read

Finance sector pressed for credible transition plans

Insurance

9 Min Read

The FCA's Consumer Duty - What it will mean for insurance firms