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- Why Kession Could Reshape Risk Across Financial Promotion and AR Structures
- Why Compliance Preparation Is Becoming One of the Biggest Drivers of Value in Financial Planning M&A
- Who Really Owns the Value in an IFA Client Bank?
- What the Recent AI Hallucination Case Means for Financial Services Firms
- What Could Andy Burnham’s Tax Plans Mean for Owners Selling FCA-Regulated Businesses?
- Tuesday Twenty: Transitioning your company from a lifestyle business to an exit-ready asset.
- Tuesday Twenty: The impact of Andy Burnham
- Tuesday Twenty: Negotiating with experienced buyers
- Tuesday Twenty: Kession 2026 – liability for appointed representatives
- Tuesday Twenty: How to close down firms using solvent liquidation
- Tuesday Twenty: Employee Share Schemes – Aligning and Retaining Key People
- Tuesday Twenty: Data Segregation – Selling your business
- Tuesday Twenty: Compliance Issues and Selling
- Tuesday Twenty: Common EOT Mistakes and How To Avoid Them
- Tuesday Twenty: Case Study – Selling in a busy market
- Tuesday Twenty: AI and advice risks
- Tuesday Twenty: AI – Risk & Compliance
- The FCA’s Seven-Year Pursuit of Neil Woodford: Regulation by Rear-View Mirror
- The FCA Won’t Stop Your Advisers Taking Clients
- Selling a Financial Planning Firm: Why the Best Deal Is About More Than Price
- Nearly One in Three West Midlands Financial Planning Firms Face a Potential Succession Challenge
- Is the FCA ignoring an obvious breach of the regulatory perimeter?
- Is FCA Expert Evidence truly independent? Upper Tribunal judgment thinks not.
- If every client wants you, your business may be worth less
- Employee Ownership Trusts: A Practical Alternative for Financial Planning Firm Succession
- Calls Grow for FCA to Review Historic Enforcement Cases Following Upper Tribunal Criticism of Expert Evidence
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