Client Choice Award Winner for Litigation (Ireland)
International Law Office Client Choice Awards
Expertise
Karen Reynolds is a partner in the Commercial Litigation and Dispute Resolution Department at Matheson, and head of the firm's Regulatory Investigations team. Our Regulatory Investigations team works closely with technical experts from our non-contentious practice areas, including the Financial Institutions, Asset Management, Finance and Capital Markets, Corporate and Technology and Innovation groups to ensure a seamless service which understands and meets our clients' regulatory requirements and priorities.
Karen advises clients on their interactions with regulators, from supervisory engagement to regulatory investigations and enforcement actions. She advises international and domestic clients on contentious regulatory matters, often involving a number of regulators and jurisdictions. Her clients include financial institutions, fintechs, banks, service providers, investment managers, private equity firms, credit firms, and other regulated entities and persons. She has significant experience in handling regulatory investigations, providing strategic risk management counsel and conducting internal investigations (domestically and cross-border). She has substantial experience in assisting regulated firms and individuals navigate highly complex and sensitive matters to secure the optimum outcome.
Karen is an accomplished litigator, and has acted in a number of test-cases and precedent setting commercial court disputes. She has a reputation for expertly guiding clients through all manner of commercial and financial services disputes, including in the Commercial Court, Court of Appeal and Supreme Court. Karen has substantial experience in corporate restructuring and insolvency law matters, having had a lead role in some of the most high profile corporate rescue transactions of the last ten years. Karen's practice also encompasses compliance and governance related matters, white collar crime and corporate offences, anti-corruption and bribery legislation and document disclosure issues.
Karen is a member of the Law Society of Ireland, admitted in 2009. She was named as a “Highly Regarded Individual” in the 2022 edition of the IFLR 1000, with “attention to detail, work ethic and her constant drive to get the best result for her clients”.
- Acting for various financial institutions in regulatory investigation and enforcement proceedings (including the Central Bank of Ireland, the Office of the Director of Corporate Enforcement, the Financial Services and Pensions Ombudsman, the Charities Regulator).
- Acting for an investment holding company in connection with Commercial Court proceedings arising from a shareholder dispute, including in relation to appeals to the Court of Appeal and Supreme Court.
- Acting for one of the largest international banks in defending multi-million dollar claims made in multiple fund and related investor Commercial Court proceedings arising out of the fraud of Bernard L Madoff Investment Securities.
- Acting for financial services providers in relation to administrative sanctions investigations under the Central Bank’s enhanced regulatory enforcement regime.
- Acting for an entity regulated under the Central Bank Act in relation to a large scale remediation project and advising in relation to Central Bank investigation and enforcement action thereafter.
- Advising global custodians of regulated and non-regulated funds in connection with their obligations relating to their custody of securities and other assets under Irish law.
- Advising a global payment technology solutions company in connection with a dispute arising from a joint venture arrangement with a financial institution.
- Acting for a company in relation to proceedings arising from a dispute in relation to the interpretation of a share option agreement and ancillary contractual arrangements.
- Advising a pharma company in relation to take-down notices and enforcement of foreign judgments in Ireland.
- Advising an international investment management company in relation to its hostile takeover and restructuring of an international oil and gas exploration company headquartered in Dublin.
- Advising a financial institution and an insolvency practitioner in connection with defending Commercial Court proceedings arising out of high-profile receivership and financial restructuring of the Crosbie group of media companies.
- Advising the petitioner in relation to the first successful examinership of companies in the construction industry, including in relation to cross border issues, security, enforcement, recognition of judgments and insolvency measures, and, in relation to an appeal to the Supreme Court.
- Acting for a financial institution in a landmark solicitor’s negligence case and successful mediation of High Court proceedings.
- Acting for a financial institution in multi-jurisdictional litigation in connection with the acquisition and development debt relating to the high profile residential and commercial development known as Clancy Quay.
- Advised the National Asset Management Agency (“NAMA”) in securing judgments in the first ever proceedings taken by NAMA against borrowers and guarantors in connection with loans acquired from participating institutions.
- Advising financial institutions in relation to restructuring options and consensual work outs for trading corporate borrowers, including debt for equity swaps and other consensual debt restructurings using formal insolvency processes.
- Advising financial institutions in connection with commercial court cases, mediations and settlements involving defaulting borrowers and guarantee claims as well as professional negligence claims.
- Advising Macquarie Asset Management in relation to its agreement to acquire the Beacon Hospital in Dublin, subject to customary regulatory approvals.
IFLR1000 2018 - 2024
Dispute Resolution: Chambers Global 2024
University College Dublin, BCL
Trinity College Dublin, LLM