Al Tamimi & Company
Lawyers
Divya Abrol Gambhir
- Phone+971 (0)4 364 1641
- Email[email protected]
- Social
- Profilewww.tamimi.com
Work Department
Banking and Finance
Position
Partner
Career
Divya Abrol Gambhir is part of Al Tamimi & Company’s Banking and Finance Department and heads the Firm’s financial regulatory and securities practice in the UAE. She is an Indian national. She worked with a leading Indian solicitor Firm, working both in the Corporate/Commercial and the Banking & Finance departments. She has also worked with ICICI Bank Ltd. as Manager, Legal in their Corporate Banking Department.
Divya has extensive experience in specialised areas such as the Regulatory Practice, Private Banking, Structured Finance, Capital Markets including Debt Capital Markets in addition to general corporate banking and advisory. She regularly advises on matters relating to licensing of financial institutions and the provision of financial services in the UAE and the DIFC; Banking M&A and restructuring; Conduct of business, compliance and AML matters and on FinTech matters. She has in depth knowledge of the private banking industry and frequently acts for financial institutions in the GCC, Europe and Far East in connection with complex private banking products and structures especially securities holding structures.
In 2005, she was seconded by the Firm to the Dubai International Financial Exchange Ltd (now called Nasdaq Dubai), where she was involved in the legal aspects of setting up the stock exchange including trading, clearing, settlement, membership etc.
Recent Experience
Acting for one of the world’s largest diamantaires, in connection with a unique diamond securitization involving the issuance of secured notes, secured by inventories located in 20 countries worldwide. Our scope was to act as UAE counsel in connection with securing receivables originating in the UAE and with their sale on a cross border basis. Acting for Bank of Singapore in relation to the transfer of their business operations to the Dubai International Financial Center and obtaining their license from the Dubai Financial Services Authority. Additionally, acting as UAE counsel in relation to Bank of Singapore’s acquisition of Barclay’s wealth and investment business in Singapore and Hong Kong. Acting for Lloyds Bank in relation to the sale of its UAE Central Bank regulated portfolio to HSBC. Advising a global provider of payment services on transfer of its business operations into the UAE.Languages
English and Hindi
Memberships
1999 – Bar Council of Maharashtra, India
Education
1999 –LLB, University of Mumbai
1996 – B.Com Major in Financial Accounting and Auditing, University of Mumbai