Garry advises on debt capital markets, structured finance and secured lending transactions, including from a regulatory perspective.

Garry’s practice focuses on advising issuers, trustees and financial institutions on the issuance of debt securities and other structured products involving a wide range of asset classes and multiple jurisdictions.


  • Advises financial services clients on compliance and regulations including MiFID, Market Abuse Directive, Minimum Competency Code, Payment Services Directive and AIFMD.
  • Advises a number of international fund promoters and investment managers on the legal and regulatory issues associated with the establishment of both regulated and unregulated fund products.
  • Advises Irish financial services providers, including loan servicing entities, in relation to their obligations under the Central Bank's Consumer Protection Code, the Code of Conduct on Mortgage Arrears and the Consumer Protection (Regulation of Credit Servicing Firms) Act 2015.
  • Advises on compliance with Ireland's anti-money laundering and counter terrorist financing laws.

Contact Garry

+353 1 638 5879


More about Garry Wynne

  • Diploma in Finance Law
    Law Society of Ireland
  • Diploma in Arbitration
    University College Dublin
  • Bachelor of Civil Law
    University College Dublin

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