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Rania Seoud

Senior Associate
+61.3.9640.4209
Fax +61.3.9205.2055

Ms. Seoud is a corporate and transactional lawyer with a focus on equity capital markets.

Ms. Seoud has experience in public capital markets, including initial public offerings (IPO) on the Australian Securities Exchange (ASX), rights issues, corporate governance, placements, corporate restructures, funds management, takeovers, mergers and general corporate law and ASX listing rule compliance advice. She also advises on private equity transactions for unlisted companies including mergers and acquisitions and private capital raisings, as well as compliance and regulatory issues under the Australian Corporations Act 2001 (Cth).

Additionally, Ms. Seoud has experience in commercial transactions in the financial services industry. She has previously advised clients about Australian financial services and credit licensing, financial advice (FoFA), privacy, managed investment schemes, fund management, peer-to-peer lending and financial services regulatory compliance obligations.

  • Acting for Adherium Limited (ADR) in its successful IPO and ASX Listing in August 2015. Adherium is a global leader in digital health technologies which address sub-optimal medication use in chronic disease.
  • Acting for Paradigm Biopharmaceutical Limited (PAR) in its successful IPO and ASX Listing in August 2015. Paradigm is an Australian biopharmaceutical company focused on repurposing the drug PPS for the treatment of bone marrow edema.
  • Acting on Prima BioMed Ltd's capital raising in May 2015 with Ridgeback Capital Investments, a large US-based specialist healthcare investor run by Wayne Holman, who is widely regarded as one of the world’s pre-eminent biotech investors.
  • Acting for Gtech International Resources Ltd in its acquisition of leading health care company Simavita Holdings Ltd. The deal was conducted by way of a regulated scheme of arrangement, together with a contemporaneous capital raising by Simavita. Following the completion of the merger, the newly combined group undertook a CHESS Depositary Interest (CDI) IPO listing on the ASX to establish a dual listing on the TSX Venture Exchange (a Canadian stock exchange) and the ASX.
  • Acting on behalf of Mesoblast Ltd's US$170 million U.S. (144a) and UK (Reg S) wholesale capital raising in February 2013 – one of the largest early stage life sciences raisings worldwide in 2012/13, involving two international brokers across three time zones and completed over a 48 hour trading halt.
  • Assisting in the due diligence, restructuring and prospectus drafting for several companies in preparation for initial public offerings on the ASX and backdoor listings.
  • Advising private and public companies on various matters including rights issues, meeting documents, placements, options, warrants and capital raisings.
  • Advising ASX listed clients on Australian Corporations Act and ASX Listing Rules compliance, corporate governance and other regulatory issues.
  • Advising on requalification on the ASX under chapter 1 of the ASX Listing Rules. 
  • Completing a 6 month secondment with the BT Financial Group in the Advice and Private Wealth legal team. 
  • Advising numerous clients on their privacy compliance obligations under the Privacy Act 1988 (Cth) and updating privacy policies to comply with the Australian Privacy Principles. 
  • Assisting a client establish a peer-to-peer lending business in Australia. This involved applying to the Australian Securities and Investments Commission (ASIC) for an Australian Financial Services Licence, an Australian Credit Licence as well as the registration of a managed investment scheme. 
  • Assisting a superannuation fund in a successor fund transfer. 
  • Advising financial institutions and other organisations on their obligations under the Anti-Money Laundering and Counter-Terrorism Financing Act 2006 (Cth). 
  • Assisting in a range of financial services matters including financial services licensing, superannuation regulatory and compliance issues, ASIC and Australian Prudential Regulation Authority regulation, trust deed due diligence and financial services advice regulatory compliance obligations. 
  • Advising international fund managers about offering their products in Australia.