Singapore
Primarily involved in providing audit and assurance services to clients in sectors such as oil trading and terminal storage, shipping, securities and commodities trading. Also involved in: (1) Financial services regulatory compliance and risk management advisory: Providing regulatory gap analysis, review and formulation of internal processes over regulatory reporting, risk based capital advisory, electronic communications surveillance and market conduct support; and (2) Offering services: Providing assurance services and supporting the initial public offering and divestment activities.