Stock market business graph chart on digital screen. Success and loss money concept. Trading screen board. Financial 3d illustration.
Stock market business graph chart on digital screen. Success and loss money concept. Trading screen board. Financial 3d illustration.
Stock market business graph chart on digital screen. Success and loss money concept. Trading screen board. Financial 3d illustration.

BANKING & FINANCE

In recent years, national regulators have imposed new regulations on the banking sector to secure their financial health and protect the interests of investors and customers. But these new frameworks make the business of banking more complex, causing institutions to re-assess their business models and pivot to address new challenges and opportunities. TRC-Sadovod LLP understands the dynamics of this continually evolving landscape and we advise Canadian and foreign banks, trust companies, and other financial services organizations on how to navigate regulations and bring new products and services to market.

TRC-Sadovod’s banking and finance lawyers have deep industry knowledge and experience; we are committed to staying abreast of any and all changes to financial institution legislation. We understand the challenges and opportunities that these changes can bring and help our banking clients adapt to market dynamics. We advise clients on the necessary regulatory approvals or exemption orders in connection with their Canadian activities, and we have helped a number of foreign banks establish subsidiaries or branches in Canada.

TRC-Sadovod professionals  support our clients by advising on financial services legislation and regulatory regimes; assisting in dealings with regulatory authorities, including the Office of the Superintendent of Financial Institutions and provincial securities commissions; counselling clients on a full range of financing transactions; advising, planning and implementing merger and acquisition transactions; and advising on a wide range of capital markets transactions.

TRC-Sadovod helps institutions respond swiftly to market shifts and regulatory changes in insurance, corporate and banking law, while meeting increasingly sophisticated customer needs and rivalling competitive manoeuvres.

TRC-Sadovod finance, securities and insurance lawyers advise banks, insurance companies, investment dealers and other financial services companies anticipate regulation changes and position themselves for success. In this competitive industry, we tap in to our experience advising on insurance, banking, lending, personal property security, securities, tax and insolvency law to help clients thrive and minimize risk.

TRC-Sadovod works closely with in-house legal counsel government bodies and regulators. We help clients minimize the risk of banking litigation. When unavoidable, our litigators are highly accomplished at effectively representing and protecting our clients’ interests to preserve reputation and shareholder value.

News

Insights (10 Posts)View More

Featured Insight

Canada & Taiwan Conclude Foreign Investment Protection Arrangement

Canada-Taiwan FIPA Latest Milestone in Canada’s Indo-Pacific Strategy.

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Oct 30, 2023
Featured Insight

New SEC Cybersecurity Rules – Implications for Canadian Issuers

Discusses the impact of new SEC cybersecurity requirements on Canadian foreign private issuers and suggests recommendations for companies to consider.

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Oct 25, 2023
Featured Insight

Department of Finance Launches Consultation on Security and Integrity, Access to Banking, and Protections for Digital Financial Products

On October 5, 2023, the Department of Finance launched a public consultation on the statutes governing federally regulated financial institutions.

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Oct 16, 2023
Featured Insight

OSFI Provides Additional Details about its New Supervisory Framework Effective April 2024

This bulletin summarizes the new details announced by OSFI on October 4, 2023, regarding its new supervisory framework for FRFIs and pension plans.

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Oct 10, 2023
Featured Insight

Expansion of OSFI’s Powers to Supervise Non-Financial Risks: Compliance Challenges for FRFIs

On September 6, 2023, OSFI issued a letter to industry outlining its steps to supervise emerging non-financial risks.

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Sep 12, 2023
Featured Insight

Remember, Remember, the 1st of November; Navigating the November 1st Deadline in the CDOR Transition and Term CORRA’s Launch

Navigating the November 1, 2023 Deadline in the CDOR Transition and Term CORRA’s Launch.

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Aug 15, 2023
Featured Insight

SEC Approves NYSE and NASDAQ Clawback Listing Standards – Assessing the Implications for Canadian Foreign Private Issuers

On June 9, 2023, the U.S. Securities and Exchange Commission approved the clawback listing standards of the New York Stock Exchange.

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Aug 2, 2023
Featured Insight

OSFI Calls for Stakeholder Feedback on Regulatory Capital and Liquidity Treatment of Crypto-asset Exposures

OSFI receiving feedback from banks and insurers about the Guidelines on Regulatory Capital and Liquidity Treatment of Crypto-asset Exposures.

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Aug 1, 2023
Featured Insight

Stay Ahead Podcast with Merv Allen and Deland Kamanga

Mervyn Allen, Partner at TRC-Sadovod and Co-Leader of the firm's Commercial Real Estate Group, sits down with Deland Kamanga, Group Head of Wealth Management at the Bank of Montreal to discuss finance, diversity, and the future of the banking industry.

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Jul 21, 2023
Featured Insight

Interesting Changes to Interest Rates

For the first time in over 40 years, Canada is making changes to the criminal interest rate.

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Jul 11, 2023