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Years of Experience
Date Last Verified
U.S. Bank Regulatory Attorney The candidate will provide legal support on a wide range of financial services regulations and LRG’s regulatory change management function. Will be responsible for monitoring and analyzing regulatory developments and initiatives affecting U.S. Bancorp’s platform, developing enterprise-wide legal regulatory policies, advising affected business lines and other members of the Law Division, and providing legal interpretation regarding bank regulations, as appropriate. Will also assist in coordinating U.S. Bancorp’s participation in the various trade associations of which the bank is a member and the bank’s overall regulatory policy and advocacy efforts.
Qualification and Experience
Qualifications: JD Degree from an accredited law school with strong academic credentials; Licensed to practice law and in good standing in the state/jurisdiction in which the position is based or otherwise in compliance with the in-house counsel registration rules of that state/jurisdiction; 8-10 years of legal experience at a law firm, in-house legal department of a financial institution, bank regulatory agency or self-regulatory organization. Preferred: U.S. bank regulatory, securities or corporate background; Excellent written, oral and interpersonal communication skills; Strong commitment to client service, and Ability to lead and work in a team environment. Should have 8-10 years of experience, with a strong knowledge of banking and consumer laws and regulations. Experience or working knowledge of securities laws and regulations, including the Investment Adviser Act of 1940, Investment Company Act of 1940, Securities Act of 1933 and Securities Exchange Act of 1934, is a plus.
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