Ross Munro

Investment Funds & Regulatory
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Expertise and Professional Background

Ross Munro advises a number of the world's largest fund managers and institutions on all aspects of the formation, operation and restructuring of BVI investment funds as well as the impact of relevant financial services and securities laws.

Ross joined Harneys in January 2005 and became a partner in 2008.  Before joining Harneys, he practised in the Corporate Finance Department at Hammonds LLP, England.

Ross is the former Chairman of the BVI Financial Services Commission (FSC) Securities, Investment Business and Mutual Funds Advisory Committee and a member of the Company Law Review Advisory Committee. He is also the former Chairman of the BVI Investment Funds Association.  In 2009/2010 he participated in a focus group set up by the FSC to consult in relation to the Securities and Investment Business Act, 2010 and associated legislation.

Ross is also one of the contributing editors to British Virgin Islands Commercial Law, Sweet & Maxwell, now in its third edition.


Guildford College of Law (Legal Practice Course) 1995
Guilford College of Law (Common Professional Examination) 1994
Manchester University (BSc) 1992

Bar Admissions

England and Wales 1998 (not practising)
British Virgin Islands 2005


Ross is consistently recommended by IFLR1000 as a leading lawyer. He is described as being "very respected in the market amongst industry peers."
He is ranked as a leading lawyer by Chambers Global and is described as a "technically very able funds lawyer" who is extremely well respected for his investment funds practice. Ross is described by Legal 500 as "brilliant on corporate restructuring matters". He is ranked as a leading investment funds lawyer by Expert Guides, 2nd Edition and by PLC Investment Funds Guide.

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