Overview
Lorna Smith is a Partner in the Irish Financial Services Regulatory team at Maples and Calder, the Maples Group's law firm. Lorna has over 10 years' experience in financial services regulation, and in addition to more traditional industries like banking, insurance and investment services, Lorna’s practice also focuses on growth sectors such as fintech, alternative lending and sustainable finance.
Lorna guides new financial institutions establishing in Ireland, across all industry sectors including MiFID investment firms and fund service providers, banks, insurers, e-money and payment firms, and credit servicing and retail credit firms. She also regularly advises on the transfer of regulated businesses, including regulatory due diligence.
She advises firms on their ongoing regulatory obligations, including remuneration and corporate governance, outsourcing, fitness and probity, anti-money laundering, capital management, and industry-specific conduct of business and investor protection requirements.
Lorna helps clients manage regulatory engagement, both in a supervisory and enforcement context, and implement new requirements and robust compliance frameworks. She has conducted comprehensive gap analyses and assurance reviews to manage regulatory risk, including working on Risk Mitigation Programmes, inspection remediation and industry-wide reviews such as the Tracker Mortgage Examination.
BACKGROUND
Lorna joined the Maples Group as a Partner in 2021, having previously worked at large Irish law and accountancy firms. Lorna is recommended by IFLR1000 and Chambers FinTech where clients report that "she's absolutely stellar. She is able to combine bank regulatory and payments work. She is very strong and very technical".
PROFESSIONAL ACTIVITIES
Lorna is a member of the Association of Compliance Officers of Ireland, Irish Funds and the Law Society of Ireland.
AREAS OF EXPERTISE
EDUCATION
University College Dublin, BCL (2005)
University College Dublin, LLM in Commercial Law (2006)
Law Society of Ireland, Diploma in Compliance Management (2012)
BAR ADMISSIONS
Attorney-at-Law New York (2010) (non-practising)
Admitted as a solicitor in Ireland (2010)
Admitted as a solicitor in England and Wales (2010) (non-practising)
GET IN TOUCH
For expert advice, contact us today – we’d love to hear from you. Please fill in the form and we will contact you as soon as possible.
KNOWLEDGE
- Irish Credit Servicing Looking to the Future 31 August 2023
- Irish Bribery and Anti-Corruption Law in Focus 08 May 2023
- CBI's New Enhanced Flexibility for QIAIF Digital Asset Exposure 05 April 2023
- CP153: CBI Consults on Individual Accountability Framework as Act Becomes Law 03 April 2023
- Central Bank of Ireland Findings Following EU Review of Costs and Fees in UCITS 30 March 2023
- The Central Bank (Individual Accountability Framework) Act 2023 24 March 2023
- Irish FinTech Regulation Focus 2023 - Six Key Areas 16 March 2023
- Central Bank of Ireland: Key Areas of Supervisory Focus for 2023 06 March 2023
- Transposition of the Credit Servicing Directive 01 March 2023
- DORA: New EU Operational Resilience Regime for the Financial Sector 30 January 2023
NEWS & DEALS
- Maples Group Named Top Legal Adviser to Irish-Serviced Funds for 10th Year 23 February 2023
- Maples Group Partners Win at European Women in Business Law Awards 2022 27 June 2022
- 2022 In the Spotlight Webcast Series 31 March 2022
- Maples Group Retains Position as Leading Legal Adviser to Irish-Serviced Funds 24 February 2022
- Eight Senior Appointments at Maples Groups Irish Law Firm 16 March 2021
- Maples Group Ranked as Top Funds Legal Adviser for 8th Year in a Row 02 March 2021
- Maples Group Strengthens Financial Services Regulatory Practice with New Partner Hire 13 January 2021