Tim Dawson is a Partner in the Corporate Department at Campbells, a leading offshore law firm in the Cayman Islands with offices also in the British Virgin Islands and Hong Kong. He joined Campbells from Maples, bringing over twenty years of specialist experience advising financial institutions, including banks, insurers, reinsurers, asset managers, investment funds, and fiduciary services firms. In the Cayman Islands, he has been involved in legislative developments and industry consultation on regulatory and compliance matters, such as prudential requirements, conduct of business, AML (Anti-Money Laundering), FATCA (Foreign Account Tax Compliance Act), CRS (Common Reporting Standard), data protection, and beneficial ownership regimes. His experience extends to advising clients in Brazil, bolstering the firm’s Latin American practice.
Tim Dawson specializes in regulatory, compliance, and non-contentious insurance and reinsurance matters. He leads Campbells’ regulatory, compliance, and insurance practices within the Corporate Department, focusing on complex regulatory mandates, including FATCA, AML, and counter-terrorism financing compliance. As a fluent Portuguese and Spanish speaker, he is particularly experienced in providing cross-border regulatory advice, especially to clients in Latin America.
Tim Dawson holds an MA (Cantab) from the University of Cambridge, which he completed between 1995 and 1999.
Tim Dawson is a Partner in the Corporate Department at Campbells, leading the firm’s regulatory, compliance, and non-contentious insurance and reinsurance practices.
He specializes in regulatory, compliance, and non-contentious insurance and reinsurance matters, with experience in complex regulatory mandates such as FATCA, AML, and counter-terrorism financing compliance.
He has experience advising clients in the Cayman Islands, British Virgin Islands, Hong Kong, and Latin America, including Brazil.
He is fluent in Portuguese and Spanish.
He holds an MA from the University of Cambridge, which he completed between 1995 and 1999.
He has been involved in legislative developments and industry consultation on regulatory and compliance matters such as prudential requirements, conduct of business, AML, FATCA, CRS, data protection, and beneficial ownership regimes.
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