Co-Head Compliance & Investigations
Torsten Fett advises management board and supervisory board members as well as members of compliance and legal departments on all compliance issues, drawing on a wealth of experience gained over many years in this field. One key focus of his work is matters involving stock corporation and capital markets law (directors’ and officers’ responsibility and liability issues). Apart from this, he provides ongoing advice to banks and financial services companies on compliance-relevant issues, especially in the area of banking regulatory. He specialises in conducting internal investigations for national and international companies and setting up cross-border compliance management systems. Torsten has been publishing on his core legal practice areas in relevant journals and books for over 15 years.