Ricky is a partner in the firm’s Capital Markets, Securities and Financial Services Regulation department.
Ricky’s practice is centered on matters associated with capital markets, securities, financial services, banking and other corporate and regulatory matters.
Ricky regularly advises leading Israeli and foreign corporations, publicly-traded and private companies, investment houses, banks and other financial institutions on matters of securities and capital markets regulation; financial services regulation; corporate governance; banking regulation; reporting requirements and filings with the Israel Securities Authority and Tel Aviv Stock Exchange; securities-related internal compliance programs; and other related issues.
She advises senior management, boards of directors, audit and special committees of public companies with respect to compliance, corporate governance and other regulatory matters.
Prior to joining the firm, Ricky headed the regulatory and compliance department at a leading investment house. As part of her work, Ricky carried out compliance surveys and drafted opinions and legal positions on various issues related to capital markets, including before the Regulator.
Ricky interned at the Ministry of Justice, in the Israel Money Laundering and Terror Financing Prohibition Authority.