Ong Pei Chin is a partner in the corporate and regulatory investigations and commercial and corporate disputes practices.
Pei Chin regularly advises clients on various governance and compliance issues under the Companies Act, Securities and Futures Act and SGX Listing Rules. She has practical experience reviewing compliance issues from a regulator’s perspective from a stint at the Monetary Authority of Singapore. She has also obtained the International Compliance Academy’s Advanced Certificate in Governance, Risk and Compliance, accredited under the Institute of Banking & Finance, scoring a distinction on the course.
Pei Chin advises and assists clients on regulatory investigations initiated by various bodies including Singapore Exchange Regulation, the Accounting and Corporate Regulatory Authority, and the Competition and Consumer Commission of Singapore, as well as on internal investigations raising bribery and corruption concerns.