General Terms and Conditions

1. Fees

The Fee agreed between the client and the Firm does not include, if applicable, VAT due by law (22%) and the compulsory contribution to the lawyer’s social security fund (4%) as well as potential costs, expenses and travel allowances provided in advanced by the Firm.

Billing is provided on a monthly basis and, in case an hourly rate Fee is agreed, to the bilingual invoice a detailed timesheet in the language required by the client shall be attached, which shall contains a list of the working hours and a detailed description of each Firm’s professional service provided. The Fee shall be paid by the client within 30 (thirty) calendar days from the receipt of the pro forma invoice.

2. Right and obligations, limitation of liability

The Firm shall perform the services agreed with the client in accordance with well-established principles and the applicable general rules provided by the law and professional regulations. Firm’s obligation is of means and not of results.

The client’s representation before judicial bodies, arbitration or mediation, domestic or foreign, shall be agreed case by case and on the basis of a special power of attorney granted for this purpose. The Firm is required to proceed before those bodies only after having received a specific assignment and having expressly agreed upon the assignment.

The client is under the duty to promptly deliver to the Firm, even without explicit request, all the necessary documentation for the proper performance of the services required. The client undertakes to promptly inform the Firm of all the circumstances, facts or back-ground relevant to the proper performance of the services. The parties agree and acknowledge that the proper performance of the services also depends on the accuracy and promptness of the information and documents made available to the Firm by the client. Consequently, the Firm and/or its associates, cooperators and employees are exempt from any liability for failure or incorrect performance of the services if false or laconic knowledge of the facts are due to the  provision of false information or omission of relevant information by the client and/or their employees or consultants , or if the relevant information is beyond the knowledge and ability to know of the Firm and/or its associates, cooperators and employees.

The Firm will do any best effort to regularly inform the client about the developments and events related to the services and reports to the client upon request.

In order to carry out the required services, the Firm may rely on the cooperation with entrusted external professional consultants.

The Firm, its employees and external consultants are bound by the attorney–client privilege on all circumstances relating to the sensitive information of the client and related to the services. The aforementioned advisor–client privilege also applies after the termination of the advisory relationship. In case where the Firm was required to disclose confidential information of the client, following the request by the courts or other for other legal obligation, the Firm will promptly inform the client to allowing  him/her to oppose to that disclosure or to give his/hers consent to the disclosure.

The disclosure of legal opinions given by the Firm and related to the services (in particular legal and fiscal opinions, due diligence, schemes and models, drafts, models and calculation tables) to third parties is permitted only with the consent of the Firm and following the a reliance letter. In all other cases, the disclosure of such documents to third parties is allowed only when third parties have previously released the Firm (expressly and in writing) from any liability. The Firm assumes no liability with respect to legal opinions contained in provisional drafts and which have not been recognised as definitive and final versions. The transmission of such documents to third parties is prohibited without the prior written consent of the Firm.

The Firm’s responsibility is limited to the amount of the paid Fee and, in any case, to a maximum amount of Euro 250,000.00 (two-hundred and fifty thousand/00) per claim per year. Cases of wilful misconduct or gross negligence are excluded from such limitation of liability.

3. Processing of personal data

The Firm is obliged to keep in its archives the personal data communicated by the client for the purposes of the performance of the services. The Firm declares that it has taken appropriate security measures to avoid any abuse of confidential information and documents.

The treatment of the personal information communicated by the client to the Firm in connection with the services or during the performance of the same, is governed by the provisions of the EU Data Protection Regulation (EU) 2016/679 (the “GDPR”) and of Legislative Decree no. 196/2003 (as recently amended by Legislative Decree no. 101/2018).

The client’s information may be communicated to entrusted external consultants  in the name and on behalf of the Firm in order to provide the requested service.

The employees and consultants of the Firm undertake to treat any personal information provided by the client in accordance with the instructions received by the Firm as the owner and responsible of the personal information of the client. The personal information of the client cannot be communicated to third parties, except in cases where this has been expressly authorised by the client.

The disclosure of personal information is essential for the fulfilment of services in accordance with the specific advisory agreement and the formalities required by law. The parties mutually recognise that the lack of or mistaken disclosure of the personal information for the performance of the services will affect and/or impede its performance, notwithstanding the rights of the client in accordance with art. 15-22 of the GDPR.

The Controller of the personal information treatment is the Firm, with its office in 00144 Rome (Italy), Viale Pasteur 66.

4. Representations and warranties in accordance with the Anti-Money-Laundering-Law

Pursuant to the Legislative Decree no. 231/2007 (the “Anti-Money-Laundering Law“), the client represents and warrants that the amounts it has used for the payment of the Fees to the Firm for the services on the basis of the specific advisory agreement have a legitimate origin and are not the result of illegal suspiciousor other activity in violation of any laws, including tax law of the Republic of Italy.

With reference to the requirements of the Anti-Money-Laundering Law the parties rely on the anti-money laundering form which the Firm provides to the client to duly fill in and sign.

5. Applicable law and jurisdiction

The advisory agreement is governed by the laws of Italy.

The place of jurisdiction for disputes shall be Rome.