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Navigating the legal landscape of equity release schemes is complex and requires careful attention to regulations, particularly those set by the Financial Services Authority (FSA). In this article, Ross Milnes delves into the critical obligations legal advisers must meet when guiding clients through equity release plans, from ensuring regulatory compliance to safeguarding clients’ interests. Learn about the importance of accurate legal advice, the potential risks, and best practices to minimize future claims while ensuring your clients make informed decisions.