Practice Expertise

  • Financial Institutions and Services
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Areas of Practice

  • Financial Institutions and Services
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WSG Practice Industries

WSG Leadership

  • WSG Regional Council - Member
  • Women's Professional Forum Group - Group Leader
  • DealMaker Group - Member
  • Banking & Finance Group - Member

Profile

Martine Samuelian specializes in banking, investment and payment services as well as in insurance regulation.

She also advises clients on banking and financial litigation (civil and criminal courts or independent administrative authorities such as the AMF and ACPR Sanctions Commissions, the ECB).

This regulatory specialist leads a strong team dedicated to compliance, anti-money laundering and counter-terrorism financing, prudential requirements, governance and blockchain issues, and has been assisting banks, investment firms, portfolio management companies, insurance companies, payment service providers and French and international fintechs, as well as their managers, with applicable regulations for over 30 years. Her clients recognize her technical expertise in financial matters and her knowledge of the markets, stakeholders, products and regulators, which has made her a key contact for the general, legal and compliance departments of these institutions.

She also provides her expertise to the firm’s other clients, particularly in the areas of governance, risk management, compliance and anti-corruption.

Bar Admissions
French Paris Bar

Education
Master's degree in private law - University of Aix-Marseille.Specialisation certificate in economic law.

Areas of Practice

  • Financial Institutions and Services

Professional Career

Significant Accomplishments
Guidance:
Structuring of the BPI France (Banque Publique d Investissement “ Public Investment Bank) on behalf of the Caisse des Depots et Consignations (CDC);
Regularly assisting various financial, banking and insurance institutions regarding their governance, compliance and risk management procedures;
Providing assistance in ensuring the compliance of new financial products at the time of their creation or structuring, and involvement in the drafting of their documentation;
Review and updating of anti-money laundering and counter-terrorist financing measures or the detection of market abuse on behalf of various French and foreign banking and financial groups.

Investigations and litigation proceedings:
Several cases of administrative settlement negotiation with the AMF;
Defending various institutions before the AMF Enforcement Committee (examples include: HSBC/AMF – Decision of 22 July 2014; EADS – Crosby/AMF – Decision of 27 November 2009);
Providing assistance in connection with AMF investigations regarding market abuse with detailed letters responses;
Assisting French banks with respect to the application of various US regulations;
Many responses to formal notices or follow-up letters from the Prudential Control and Resolution Authority [ACPR] with the follow up of remedial action plans;
Defending various institutions before the ACPR Enforcement Committee and review procedures (examples include: LCL/ACPR – Decision of 3 July 2013; UBS/ACPR – Decision of 25 June 2013);
Assisting banks in connection with a notification of complaint issued by SICCFIN (authority dedicated to anti-money laundering and the fight against terrorism and corruption in Monaco);
Litigation relating to the collapse of Icelandic banks, the collapse of Lehman Brothers, the Madoff fraud, etc.


Professional Associations
  • ANJB
  • AMF, ACPR


Articles

Additional Articles# Les enseignements de l arret Maurel et Prom , Note sous Cour de cassation (com.), 27 avril 2011, F-D, n°10-12125
Bulletin Joly Bourse, n°9, septembre 2011, en collaboration avec Guillaume Berruyer

# Ou sont les risques ?
Bulletin Joly Bourse, n°7-8, Juillet-Aout 2011

# Ventes a  dacouvert, l AMF leve l interdiction.
Option finance, n°1112, 14 fevrier 2011

# Loi de regulation bancaire et financiere : les nouveaux pouvoirs de l AMF pour lutter contre le risque systemique et encadrer la speculation
Option Finance n°1099 du 8 novembre 2010

# L'AMF se lance dans les "achats mystere"
Revue de Droit Bancaire et de la Bourse N°3, Juin 2010

# Ordonnance n°2010-76 du 21 janvier 2010, pour une autorite de controle unique et efficace
Revue Banque, N°723, avril 2010

# Note sur l'autorite de controle prudentiel
Option Finance du 1er mars 2010, avec Dominique Leger

# Prestataires de services d'investissement : evolution de la jurisprudence disciplinaire
Decideurs : Strategie, Finance & Droit N°62, 15 fe©vrier 15 mars 2005, en collaboration avec Guillaume Berruyer

# Les enseignements tires de l'affaire Société Générale par la Commission Bancaire dans son rapport annuel
Decideurs : Strategie, Finance, Droit, N°97, 01/09/2008

# Abus de marche / Manipulation de cours
Decideurs : Strategie, Finance, Droit, N°95, 01/06/2008

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