Alexandra Ruddy

Alexandra Ruddy 

Executive Director, Regulatory and Compliance

Regulatory and Compliance

Jersey

Alex is an Executive Director of Collas Crill Regulatory and Compliance in Jersey.

Experience

Alex has extensive experience in AML/CFT/CPF and sanctions issues, policies and procedures, fraud and asset tracing. At Collas Crill she provides litigation support, including assisting colleagues on accounting matters. 

During her career she has assisted financial services businesses in developing bespoke solutions to regulatory issues, working closely with board members and key persons. Alex is well versed in helping businesses strengthen their governance frameworks and control environments, taking a pragmatic approach to corporate governance matters.

"A solutions-driven individual, I enjoy nothing more than being presented with a seemingly difficult and knotty issue. I pride myself on finding pragmatic solutions and providing practical advice and guidance. Having worn numerous hats in a professional and voluntary capacity I am effective at communication and stakeholder management."

Alex has regularly been appointed as a reporting professional, inspector, and skilled person by regulatory authorities in relation to trust company, fund services, and insurance businesses. This has often comprised the review of complex structures and opining on compliance with the relevant legal and regulatory regime. Alex has also assisted clients subject to enforcement action supporting legal advisers.

Alex has also assisted financial services businesses in designing remediation plans, undertaking remedial actions, and performing validation exercises post-remediation.

She has also delivered effective training for a range of audiences from board to more bespoke training in relation to the embedding of new controls.

Background

Prior to joining Collas Crill, Alex was one of the founding directors of Oben Regulatory. She also spent considerable time in practice with two of the Big Four accountancy firms and is a qualified Chartered Accountant.

Choosing to specialise in forensic accounting and regulatory consulting, Alex held a senior position at Deloitte. During this time, alongside her regulatory advisory work, she provided litigation support in complex investigations involving fraudulently altered or incomplete records, as well as in matrimonial matters. This work continued throughout her time at Oben.

Alex is Chair of the Institute of Directors Jersey branch and co-founder of the Mind the Gap Community.

My services
Corporate disputes
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Our dispute resolution specialists collaborate seamlessly with our corporate advisory and banking teams across jurisdictions to advise multinational corporations, trust companies, banks, funds, insurers, governments and directors.

We provide a global perspective, working closely with our clients to ensure that they are best placed to respond to customer issues, fraud risks, rapidly changing market conditions and regulatory demands.

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Fraud and asset tracing
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We are used to working as part of a multi-jurisdictional team, capable of reacting and responding quickly to urgent requests for assistance with locating and freezing assets.

As sophisticated defendants become more adept at dissipating assets, we've been involved in cases that created new law in the Channel Islands in relation to a party's ability to trace assets and recover their losses. With their ability to deal with complex issues, the team deliver clear, commercial advice on the availability and likely success of recovery methods.

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Investigations and enforcement
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The regulatory environment, both in local jurisdictions and internationally, is increasingly complex and regulatory agencies are becoming more zealous in their approach to enforcement and investigations. We guide clients through the impact of enforcement of investigatory actions by regulatory bodies, offering dedicated strategic advice on a broad range of issues including enforcement notices, governance matters, complaints, insider trading and dealing and market manipulation.

We can also assist clients to conduct internal investigations prior to any regulatory investigations.

White collar and financial crime
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White collar and financial crime are receiving heightened attention, particularly due to the expanding global presence of businesses, resulting in prosecutions that frequently involve authorities in multiple jurisdictions.

Working across borders we can advise and represent you on complex and sensitive issues, including those relating to fraud, bribery and corruption, sanctions, money laundering and extradition. We can also assist with unlocking assets frozen under the relevant proceeds of crime laws.

Corporate and commercial regulatory
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Regulation and legal risk management are placing increasing burdens on companies and businesses in terms of time, costs and resources, and the consequences of getting this wrong can be severe. We can assist with all regulatory and compliance issues in Jersey, Guernsey, BVI and Cayman.

Additionally we can help with regulator investigations and visits, enforcement and remediation including representation before regulators, tribunals committees and courts. We have an excellent record in defending corporates and their directors and officers in regulatory proceedings.

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Data protection
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Data is the most valuable asset for many of our clients and data protection is a growing facet of offshore business. We have advised a number of institutional clients on their commercial obligations in terms of data security and data protection and regularly provide advice on contract terms in this difficult area. We also have significant experience in using the full range of legal remedies available to obtain access to data and information held, and so are ideally placed to advise clients on either side of the data protection equation.

Regulatory obligations
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Regulation and legal risk management are placing increasing burdens on companies and businesses in terms of time, costs and resources, and the consequences of getting this wrong can be severe. We can assist with all regulatory and compliance issues in Jersey, Guernsey, BVI and Cayman including: 

  • Anti money laundering and proceeds of crime legislation
  • FATCA and CRS reporting
  • Licensing
  • Economic substance
  • Beneficial ownership
  • Sanctions
  • Tax information exchange requests
  • AIFMD

Additionally we can help with regulator investigations and visits, enforcement and remediation including representation before regulators, tribunals committees and courts. We have an excellent record in defending corporates and their directors and officers in regulatory proceedings.

Corporate governance
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Good corporate governance and a sound understanding of directors duties is critical. Regardless of size, establishing a best practice approach should be fundamental to all boards.

The board of directors are responsible for ensuring the company achieves its objectives and the corporate governance framework they adhere to should underpin their accountability to the company and its members.

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Directors' duties
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Directors are legally obliged to act in good faith, exercise independent judgment, and promote the best interests of the company.

Our offshore regulatory lawyers regularly provide expert legal guidance to directors as to their duties in offshore jurisdictions and corporate governance frameworks, as failure to comply with these expected duties potentially results in significant personal liability for directors.

Our experienced team advises on fiduciary responsibilities, risk mitigation, and regulatory compliance to ensure directors meet their obligations with confidence. Whether you're forming an offshore entity or navigating complex corporate challenges, we can offer trusted, practical solutions tailored to your needs.

Due diligence
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Our experienced team will handle the due diligence process, from initial requests for information and documentation, transitioning to the review phase, making further requisitions as necessary and producing a comprehensive due diligence report setting out key issues and areas for risk mitigation.

Contentious regulatory
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In regulatory disputes there are often fine lines between the usual wrangling with the regulator and something more serious – by matching our mix of experienced contentious and non-contentious lawyers to the particular problem at hand, we achieve better and more efficient outcomes.

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Sanctions
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We provide contentious and non-contentious advice and support, primarily for local financial services businesses, in complying with sanctions and anti-money laundering regulations. Our work ranges from initial strategic advice, liaison with stakeholders including regulators, clients and investigations and prosecution authorities – to litigation, where required.

Compliance consultancy services
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Collas Crill Regulatory and Compliance Limited provides governance, risk & compliance and AML/CFT services to Guernsey and Jersey regulated financial services businesses, and also to other businesses with compliance obligations such as estate agents, accountants and finance brokers.

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AML/CFT advice
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We advise clients on regulations and requirements in the BVI, the Cayman Islands, Guernsey and Jersey in relation to anti-money laundering (AML) and combating the financing of terrorism (CFT) to help them ensure they meet their obligations.

Financial services licensing and compliance
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We are able to advise clients on the establishment and structuring of the full range of regulated service in our jurisdictions. Our experience allows us to shape licence applications to fit regulatory expectations as well as tailoring procedures and processes to reflect the latest and best practices in compliance and corporate governance.

Our services include general regulatory and compliance advice and support, non-financial services regulatory matters including utilities, data protection and corporate governance, due diligence, reviews, audits and health checks. We advise clients from a diverse client base with a focus on the financial services industry including fund administrators, trust companies, banks, investment managers, local companies and individuals.

Reporting obligations and procedures
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We regularly advise clients on their reporting obligations including FATCA/CRS and beneficial ownership.