Brian McDonnell
UK Guide 2025
Band 4 : Financial Services: Non-contentious Regulatory
Email address
[email protected]Contact number
07888 153535Share profile
Band 4
About
Provided by Brian McDonnell
Practice Areas
Brian is a founder partner of McDonnell Ellis LLP, a specialist financial services law firm working with a range of financial services firms as well as other law firms without sufficient FS regulatory expertise.
Brian's practice covers all aspects of financial services law and regulation including banking, wholesale financial services, funds and payments.
Brian's practice includes:
- all regulatory perimeter issues;
- client money / CASS;
- E-money / payments regulation;
- systems and controls (including outsourcing);
- governance / SMCR;
- PRA / FCA Handbook queries;
- derivatives / EMIR;
- bank capital / MiFIDPRU;
- cryptoasset / tokenisation issues;
- market abuse;
- money laundering compliance;
- drafting customer terms / commercial agreements with regulatory content;
- collective investment scheme advice;
- funds structuring, including all AIFMD matters;
- financial promotions; and
- regulatory authorisations (including Appointed Rep arrangements).
Brian also assists on corporate transactions including due diligence; warranties; and FCA change of control.
Professional Memberships
Vice-chair of the City of London Law Society Regulatory Law Committee.
Member of the Lexis Financial Services Consulting Editorial Board.
UK legal advisor to the Association of International Life Offices.
Publications
Author of Thomson Reuter’s A Practitioner’s Guide to Inside Information (2nd edition).
Work Highlights
INVESTMENT FIRMS / BROKERS
Advising on the MiFID2 perimeter in the context of foreign exchange business.
Advising an international broker on the application of Russia sanctions to its business.
Negotiating and drafting arrangements for a leading UK wealth manager to enter into a sub-IMA with a fund manager to provide liability-driven investment management for its pension fund clients.
Working with a range of firms on documenting / reviewing their Appointed Representative arrangements.
Advising a firm on the client money rules (CASS) impact of a savings account marketplace service.
ASSET MANAGERS / FUNDS
Advising on whether an international investment firm had an 'investment firm group' subject to the Investment Firms Prudential Regime in the UK (and assistance in drafting an ICARA).
Advising numerous clients on whether arrangements may constitute a CIS or AIF; and on the structuring of investments / funds.
Advising a placement agent on its post-Brexit arrangements for structuring its fund marketing business in the EU.
Advising an asset manager on its customer disclosures and, in particular, its compliance with PRIIPS.
Advising an asset manager on its governance arrangements including compliance with the SMCR and Remuneration Codes.
Drafting various investment management agreements; assisting with ISDAs and brokerage arrangements; and supporting managers with their outsourcing arrangements.
FINTECHS / PAYMENTS / CRYPTO
Advising an E-money institution on its crypto exchange and custody offering.
Assisting a large U.S. techco on its FCA authorisation application to become an E-money Institution.
Working on a precious metals "fractional ownership" service.
Advising on and documenting joint venture arrangements between two Payments firms to facilitate client services.
Drafting client terms for payment / e-money services.
Advising a Payments firm on all of its third-party and correspondent banking agreements.
Working with a large e-commerce platform on its strategy and business model in the context of the Payment Services Regulations.
BANKS / INSURERS
Advising a bank on the compliance of a proposed transaction with the UK's ring-fencing regulations; and on how to migrate clients and business assets.
Supporting a small bank on its continued implementation of EMIR and the replacement of LIBOR.
Advising on the issue of regulatory capital instruments (CET, ADT 1 and T2); and liquidity requirements.
Analysis for an unregulated firm as to whether arrangements would constitute a 'contract of insurance'.
Acting for an insurer in connection with FOS complaints and assistance in drafting representations.
Advising banks on ISDA / GMRA documentation.
Advising a global firm of accountants on its approach to BRRD "bail-in" clauses applied to engagements with it by banking clients.
Advising on product design and distribution arrangements.
Advising on the risks associated with reinsurance agreements.
Helping banks and insurers with their customer agreements.
Advising on regulatory reporting issues.
COLLABORATING WITH OTHER LAW FIRMS
Working with lawyers to the company on a premium listing on the London Stock Exchange of an Investment Trust: advising on regulatory matters, including, AIFMD and funds issues / documentation; investment advisory issues; and Appointed Representative arrangements.
Undertaking regulatory and commercial due diligence for a law firm in connection with the purchase of a payments and e-money group of companies.
Undertaking regulatory due diligence for a law firm in connection with the purchase of a group comprising FCA authorised firms.
Assisting a law firm in CIS / AIF structuring to facilitate its funds offering.
Assisting a law firm with crypto regulatory perimeter analysis to support its clients.
Industry Sector Expertise
Financial Services
Education
London Oratory
University of Oxford
Languages Spoken
English / French
Chambers Review
UK
Brian McDonnell works with investment fund and banking clients on navigating regulatory requirements, both long term and in relation to transactions.
Strengths
Provided by Chambers
"Brian is extremely responsive and provides prompt answers. He provides responses that are relevant, practical and tailored."
"Brian is a tremendous lawyer with an encyclopaedic knowledge of financial service regulatory frameworks."
"Brian is very energetic and responsive to individuals. He has great intellect and thinks things through from a commercial perspective. He is a very impressive operator in his field."
"Brian is extremely responsive and provides prompt answers. He provides responses that are relevant, practical and tailored."
"Brian is a tremendous lawyer with an encyclopaedic knowledge of financial service regulatory frameworks."
"Brian is very energetic and responsive to individuals. He has great intellect and thinks things through from a commercial perspective. He is a very impressive operator in his field."
Discover other Lawyers at
McDonnell Ellis LLP
UK-wide
Key Sectors
Provided by McDonnell Ellis LLP
Financial Services
Financial Investors