Job Summary
A company is looking for an Associate Attorney to provide legal counsel in securities law and compliance for broker-dealers and registered investment advisers.
Key Responsibilities
- Provide legal defense and compliance oversight for broker-dealers and registered investment advisers
- Analyze regulatory matters and advise clients on compliance with laws and regulations
- Interact with clients to offer legal counsel and develop strategies for risk mitigation
Required Qualifications
- Juris Doctorate (J.D.) degree from an accredited law school
- Licensed to practice law in the United States
- 5-10 years of legal experience in financial services, preferably with investment firms or law firms
- Proven expertise in U.S. Securities and Exchange Commission (SEC) and FINRA regulations
- Ability to work efficiently on a remote basis and meet billable hours requirements
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