Philip is Head of the Civil and
Commercial Litigation Practice Group and Co-Head
of the Regulatory Compliance and Commercial Fraud
Practice Group.
Philip has extensive experience in commercial
litigation (contracts), corporate (shareholders
and employees), property disputes (en bloc and
trusts) and judicial review and is consistently
identified as a leading business crime lawyer
in leading directories such as Who’s Who
Legal. In the area of regulatory compliance, with
his past experience as a prosecutor in the Singapore
Commercial Affairs Department (CAD),
Philip is constantly sought for his advice on
securities laws (insider trading and market manipulation)
and corporate compliance (directors’ statutory
and regulatory duties). He has also assisted professional
bodies such as the Institute of Certified Accountants
of Singapore and the Singapore Medical Council
in several prosecution actions involving doctors
and accountants. He has acted for a leading car
distributor in the first ever action against a
government transport authority in relation to
a dispute relating to car taxes. Most recently
he advised minority subsidiary proprietors in
relation to the collective sale of the Horizon
Towers, which is one of the landmark decisions
made by the Strata Titles Board.
Philip is a regular speaker at business forums
and seminars on the subject of securities fraud,
corruption, enforcement actions of government
agencies and issues relating to directors’
duties and other white collar crimes.
Philip used to serve as Assistant Director (Investigations)
in the CAD where he led a number of high profile
prosecutions under the Companies Act and the Securities
and Futures Act. He was also instrumental in the
establishment of the first anti-money laundering
department in the CAD.
In addition to a law degree from the University
of London, Philip also graduated from the University
of Adelaide with an Honours degree in Economics
(majoring in Accounting). Philip was a Government
scholar and was called to the Singapore Bar in
1995.
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