SHIJIRTUYA MURUNDELGER
ATTORNEY AT LAW
Member of the Geneva Bar
+41 22 839 70 00smurundelger@avocats.ch
French
English
Russian
Mongolian

Shijirtuya Murundelger specialises in corporate governance, compliance as well as in banking and finance law. She advises international groups and regulated financial institutions with respect to legal and regulatory risk management. She has solid experience in setting up and managing compliance programs, conducting internal investigations and supporting governance bodies.

areas of expertise

PRIVATE CLIENTS & INHERITANCE

  • Creation and administration of trusts, foundations and other entities
  • Advice and support incorporate governance and wealth management structures, such as trusts and family offices
  • Liquidation of estates, executions of wills
  • Wills, inheritance agreements, gifts and inheritance sharing agreements

COMMERCIAL & CORPORATE LAW

  • Advice and assistance with regulatory matters, in particular compliance and risk management
  • Compliance audits, issuing compliance reports and recommendations
  • Assessment of the compliance programs and assistance with its implementation
  • Implementing and advising on mechanism for preventing/responding to breaches of rules of conduct (whistleblowing)
  • Counselling and supporting in the internal investigations
  • Advice and assistance with internal restructuring
  • Review and drafting corporate and contractual documents

ASSET MANAGEMENT

  • FINMA authorisations for fund management companies, managers of collective assets and custodian banks
  • FINMA authorisations for portfolio managers and trustees, and affiliations with supervisory organisations (SOs)
  • Advice and assistance with implementing regulatorily changes and compliance
  • Advice on the offering and distribution of collective investments and structured products
  • Drafting and negotiation of management, advisory, private placement memorandums and distribution agreements


BANKING & FINANCE

  • FINMA authorisations for banks, securities firms and financial institutions
  • Financial services regulation and prudential rules
  • Drafting and negotiation of banking and financial agreements (and all related documentation)
  • Advice and assistance on the implementation of regulatory and compliance requirements
  • Advice on anti-money laundering regulations
  • Advice on the setting up and organisation of compliance and risk management departments

EDUCATION/CAREER

2026
Attorney at law, Junod Halperin

2024 – 2025
Deputy Global Head of Compliance, SGS Société Générale de Surveillance SA

2021 – 2023
Compliance-Business Ethics Advisor, SGS Société Générale de Surveillance SA

2012 – 2018
Head of Legal & Compliance, manager of collective assets

2016
Admission to the Geneva Bar

2013 – 2015
Trainee lawyer in a Geneva law firm

2012
Certificate of advanced studies in legal professions, University of Geneva

2011
Certificate in transnational law, University of Geneva

2005 – 2011
Bachelor of Laws, University of Geneva

1998 – 2002
Bachelor in translation-interpretation, French-Russian-Mongolian, University of the Humanities, Ulaanbaatar

PROFESSIONAL AFFILIATIONS/ADDITIONAL ACTIVITIES