Experienced Advice

Matthew Scott
“With my expertise and commitment, I strive to deliver solution oriented advice and guidance to clients navigating their legal and compliance landscapes.”

Matthew Scott

Direct:: 416.217.0870
Fax: 416.217.0220
Email: mscott@cmblaw.ca
LinkedIn

Matthew is the firm’s managing partner. Matthew’s practice focuses on corporate and securities litigation and advising on regulatory compliance matters. He has extensive experience in complex commercial and securities litigation, including securities regulatory enforcement proceedings, regulatory investigations, disputes arising between buyers and sellers in M&A transactions, investor losses, and class actions. Matthew also has experience advising companies, including fund managers, portfolio managers and dealers, on regulatory compliance management, compliance examinations and remediation programs.

Prior to rejoining CMB in 2022, Matthew worked for 13 years in the legal and compliance departments of CI Financial Corp. as Vice President and Chief Litigation Counsel. Matthew managed and acted in a wide range of corporate, commercial and securities litigation matters for CI and its affiliates. He also provided general corporate and commercial advice to the group of companies. Matthew implemented a regulatory compliance management system and oversaw complaint handling, whistleblower policy, as well as privacy and anti-money laundering compliance programs at CI.

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