Karolos Seeger is a partner in the firm’s White Collar & Regulatory Defense Group and International Dispute Resolution Group, based in the London office. He is also a member of the firm’s Management Committee. His practice focuses on white collar crime and internal investigations, in particular regarding compliance with corrupt practices legislation, conducting compliance assessments and creating and implementing appropriate compliance programmes and procedures. Mr. Seeger also advises clients on a wide range of specific sanctions issues and has experience in complex litigation and international arbitration matters.
Mr. Seeger has deep experience in the field of internal investigations, compliance advice and white collar crime, as well as in a variety of English High Court and international arbitration matters in a wide range of sectors. He serves as an officer on the International Bar Association’s Business Crime Committee and is ranked as a leading individual for Regulatory Investigations and Corporate Crime by The Legal 500 UK (2021), where he receives praise for his “excellent subject matter expertise.” In previous editions of the guide he is said to have “deep experience dealing with a multitude of agencies across the world. He is experienced, hands-on and has tremendous judgement.” He has also been described as “outstanding” and noted for his “sound personal judgement along with high-calibre legal advice.” The Legal 500 UK (2021) also recommends him for his work in emerging markets. Clients note that he is “exceptional. He has a brain like a computer and can put complex issues across simply and clearly. He inspires confidence, always. He is calm and collected, extremely bright and very personable.” Chambers UK (2021) ranks him as a top-tier lawyer for Financial Crime: Corporates where he is said to be “professional, knowledgeable and proficient” and where one client has noted that he “would be my first point of call if we were involved in any heavyweight litigation.” Sources have also said that he is “extremely knowledgeable on bribery and corruption investigations and has substantial experience engaging with regulators around the world on behalf of his clients.” Previous editions of the guide have said that he offers “experience that is tough to match, having led some of the largest and most complex bribery investigations in Europe and the UK.” He also wins praise for “a brain which has seemingly limitless capacity,” as well as his “intelligent, thoughtful and practical advice, and pleasant demeanour.” He is further described as “an incredibly reliable and informative expert, who has a very calm manner and presents extremely effectively in high-risk, high-stakes matters.”
Mr. Seeger has represented corporate and individual clients in international criminal and regulatory investigations in a variety of areas, from allegations of market abuse to allegations of global-wide corruption. This includes representing clients before several investigating and prosecuting agencies and regulators, including the Serious Fraud Office (“SFO”) and the UK Financial Conduct Authority (“FCA”), as well as equivalent foreign agencies (including in the United States, Germany, Greece and Brazil). Most recently, he represented Rolls-Royce in an internal investigation and coordinated resolutions with UK, U.S. and Brazil investigating authorities relating to bribery and corruption involving intermediaries in a number of overseas markets; a European national in connection with a mutual legal assistance request by the SFO to a European authority in connection with an investigation into allegations of corrupt payments via business consultants; a leading global energy group in connection with an SFO investigation into payments made in Africa, including as to quantification and potential exposure under UK accounting legislation; as well as a former CFO of a FTSE 100 company in connection with a fraud investigation by the SFO.
Mr. Seeger has also advised clients on Bribery Act, sanctions and UK money laundering issues arising in connection with M&A transactions, as well as reviewed and devised compliance manuals, programmes and policies to comply with related requirements.
Mr. Seeger’s wide-ranging dispute resolution experience also includes arbitrations under the LCIA, UNCITRAL and the City Disputes Panel Rules, a jurisdictional challenge in the High Court to a derivative shareholder action and proceedings relating to an alleged monopoly contravention. Additional cases on which he has advised include the co-ordination of a defence strategy for a major online gambling provider across various European jurisdictions for alleged breaches of local licensing legislation, including a complaint to the European Commission.
Mr. Seeger has published numerous articles and frequently presents and lectures on corporate crime enforcement. He is also a current member of the Editorial Board of Global Investigations Review. Recent publications include “UK Supreme Court Rules That SFO Cannot Require Foreign Companies To Produce Documents Held Overseas,” FCPA Professor (February, 2021); “Debevoise & Plimpton Discusses UK’s Autonomous Sanctions Regime,” CLS Blue Sky Blog (January, 2021); “The SFO Publishes Its Internal Guidance on Deferred Prosecution Agreements,” Compliance & Enforcement (October, 2020); “UK and EU Anti-Money Laundering Enforcement,” CLS Blue Sky Blog (September, 2020); “Brazil Announces New Anti-Corruption Cooperation Framework; MPF’s 5th Chamber Opposes It,” Compliance & Enforcement (August, 2020); “The EPPO and the EU’s covid-19 rescue package – Italian anti-mafia report outlines future challenges,” Global Investigations Review (August, 2020); “UK Introduces Magnitsky-Style Human Rights Sanctions Regime,” Compliance & Enforcement (July, 2020); “The EPPO and International Co-Operation –– New Kid on the Block,” Compliance & Enforcement (December, 2019); “U.K. and U.S. Sign Landmark Cross-Border Data Sharing Agreement,” Compliance & Enforcement (November, 2019); “UK Law Commission Recommends Reforms to Money Laundering Suspicious Activity Reports,” Compliance and Enforcement (July, 2019); “Overseas production orders: a new regime for gathering evidence,” Practical Law (May, 2019); “Debevoise & Plimpton Discusses UK Financial Conduct Authority’s Proposal for Heads of Legal,” CLS Blue Sky Blog (February, 2019); “UK Financial Conduct Authority Puts Heads of Legal Outside the Senior Managers Regime,” Compliance & Enforcement (February, 2019); “Beyond The Headline Fines: Preparing For Post-GDPR ICO Scrutiny and Enforcement,” Global Data Review (October, 2018); “UK vs US: an Analysis of Key DPA Terms and their Impact on Corporate Parties,” ICLG: Business Crime 2019, published by Global Legal Group (September, 2018); “UK Law Commission Proposes Reforms to Suspicious Activity Reports for Money Laundering,” Compliance & Enforcement (August, 2018); “English High Court Considers Status of Internal Investigation Interview Notes,” Compliance & Enforcement (April, 2018); “First French DPAs for Corruption Offences,” Compliance & Enforcement (March, 2018); and “The Use of Foreign Compelled Testimony in Cross-Border Investigations – The Impact of the Second Circuit’s Allen Decision,” The International Comparative Legal Guide to Business Crime, 2018 (8th edition).
Mr. Seeger’s recent speaking engagements include “Unexplained Wealth Orders and Account Freezing Orders” (June, 2020); “Compliance and In-house Counsel in the Firing Line,” 5th Annual GIR Live London 2019 (April, 2019); “Double Jeopardy,” IBA Anti-Corruption Conference (June, 2018); “Broken Windows and New Frontiers: the Increasingly Long Arm of Anti-Corruption Law,” 21st Annual IBA Transnational Crime Conference (May, 2018); and “Grow a Backbone: The Distinction Between the American and British Approaches to Cross Border Investigations,” GIR Live London (April, 2018).
Mr. Seeger is a Solicitor-Advocate (Higher Rights of Audience). He received his M.A. (First Class) in Jurisprudence (Law with Law Studies in Europe) from the University of Oxford in 1996 and his Diplome d’Etudes Complémentaires du 2eme cycle en Droit Européen (Grande Distinction) from the Institut d’Etudes Européennes, Université Libre de Bruxelles in 1997. He is admitted to practise in England & Wales (2000), and he is an accredited Mediator with ADR Chambers. He is fluent in German and Greek and speaks French.
Seeger律师对于内部调查、合规意见、白领犯罪及广泛领域的各类英国高等法院和国际仲裁案均具有丰富的经验，是国际律师协会商业犯罪委员会的官员。《英国法律500强》（2020年）将他列为监管调查和公司犯罪领域的领军人物，称赞他有“和世界各地大量机构打交道的丰富经验，他亲力亲为、具有极佳的判断力。” 该指南的往期版本称赞他“杰出”，尤其“具备准确的个人判断力并提供高水准的法律建议。” 《钱伯斯英国》（2020年）将他列为“金融犯罪：公司”领域的第一梯队律师，其中有客户特别提到“他是我们处理重要诉讼事宜时第一个打电话联系的人。” 另有消息来源表示他“对于贿赂和腐败调查极其在行，代表客户与世界各地的监管机构建立密切关系，经验极为丰富。”该指南的往期版本称他拥有“旁人难及的丰富经验，曾主持处理了欧洲和英国最大、最复杂的一些反贿赂调查”。他还被称赞为“似乎拥有无穷的智慧”，并且“提供机智、周到和实用的建议，为人和蔼可亲”。并被称为是“一位非常可靠且知识丰富的专家，在处理高风险问题时沉着冷静、应对有力。”
Seeger律师就公司犯罪执法发表了多篇文章并经常进行展示和演讲。他目前还担任《全球调查评论》杂志的编委会委员。Seeger律师近期发表的文章包括：“合规与执法：英国法律委员会建议对洗钱可疑活动报告进行改革，《合规与执法》（2019年7月）；“海外获取指令（Overseas production orders）：收集证据的新体制”，《Practical Law》(2019年5月)；“德普解析英国金融服务监管局对法律主管的提议”，哥伦比亚大学法学院Bluesky博客（2019年2月）；“合规与执法：英国英国金融服务监管局将法律主管置于高级管理层体制之外”，《合规与执法》（2019年2月）； “在上了头版的罚款案例之外：准备应对GDPR实行后来自英国信息专员办公室（ICO）的审查与执法”，《全球数据评论》（2018年10月）；“英美对比：对暂缓起诉协议关键条款的分析以及其对公司一方的影响”，《国际比较法律指南：商业犯罪2019》（全球法律集团出版，2018年9月）；“英国法律委员会提议对洗钱可疑活动报告进行改革”，《合规与执法》（2018年8月）；“英国高等法院考虑内部调查面谈记录的重要性”，《合规与执法》（2018年4月）；“法国首次就腐败罪达成暂缓起诉协议”，《合规与执法》（2018年3月）；“在跨境调查中使用外国强制证人证言——第二巡回上诉法院Allen一案裁决所带来的影响”，《国际经济犯罪比较法律指南，2018年（第8版）》（2017年9月）；“英国刑事财务法2017”，《纽约大学法学院合规与执法博客》（2017年5月）；“将‘高级管理人员及认证制度’（SMCR）延伸至所有英国金融服务公司”，《法律360》（2017年2月）；“德普如何看待英国扩大公司刑事责任范围采取的第一步”，《哥伦比亚大学法学院Blue Sky博客》（2017年2月）；“英国贿赂腐败重要案件”，《金融欺诈法律报告》（2015年1月）；以及“律师辩护建议”，《国际比较法律指引：商业犯罪》（全球法律集团出版，2015年10月）。
Seeger律师近期发表的演讲包括: “双重危机”，国际律师协会反腐败大会（2018年6月）；“破窗事件和新领域：反腐败法日益广泛的管辖范围”，第21届年度国际律师协会跨国犯罪大会（2018年5月）；“增长志气：跨境调查处理方式的英美对比”，伦敦GIR Live大会（2018年4月）；“反贿赂和腐败”，反贿赂与反腐败培训（2018年4月）；“探究近期FCPA和UKBA的主要执法案例及对全球反腐败方案的实用经验”，反腐败高级会议——北欧专题（2017年11月）；“司法待售？暂缓起诉协议、不起诉协议和其他和解协议”，国际律师协会年会（2017年10月）；“涉及多司法辖区和解协议的谈判与协调：如何与多个执行机构达成统一协定”，C5反腐败伦敦大会（2017年6月）；以及“现场问答小组”，伦敦GIR Live大会（2017年4月）。