Midlevel Securities Compliance Attorney

Full-time 7 views

Recruiter

Atlanta, GA, United States

Midlevel Securities Compliance Attorney

Attorney

BCG Attorney Search
Company Review

2-17 yrs required

Full-time

No

Job Overview:
A law firm seeks a dedicated and experienced Midlevel Securities Compliance Attorney to join its team. This role is ideal for a legal professional who excels in regulatory compliance, risk management, and corporate governance within the financial services sector. The firm provides strategic counsel to clients in investment advisory, broker-dealer compliance, and regulatory defense. This is a remote opportunity based in Atlanta, GA, with occasional travel as needed.

Duties:

  • Serve as General Counsel for broker-dealers (BDs) and registered investment advisers (RIAs)

  • Provide regulatory defense and strategic legal counsel

  • Draft and review ADV filings, Standard Operating Procedures (SOPs), and other compliance documents

  • Analyze and advise on compliance and regulatory issues impacting broker-dealers and RIAs

  • Prepare, review, and revise contracts, including registered representative agreements and third-party contracts

  • Offer guidance to clients on complex compliance matters and legal risks

  • Assess and suggest modifications for legal documents to align with current regulations

  • Negotiate resolutions with regulatory bodies and third-party entities

  • Oversee and delegate tasks to specialized paralegals and compliance analysts

  • Develop legal strategies for client representation and ensure execution

  • Act as Chief Compliance Officer for clients as required

Requirements:

  • Minimum of 5-10 years of legal experience in financial services, preferably in an investment firm or a law firm specializing in RIA and BD clients

  • Strong background in SEC, FINRA, and state securities regulations (licensure preferred but not mandatory)

  • Extensive knowledge of the Investment Advisers Act of 1940, the Securities Exchange Act of 1934, state securities laws, and self-regulatory organization (SRO) rules

  • Ability to manage multiple clients and deadlines in a fast-paced environment

  • Excellent problem-solving and critical-thinking skills

  • Strong communication and negotiation abilities

Education:

  • Juris Doctor (.) degree from an accredited law school

Certifications:

  • Active membership in good standing with the state bar

Skills:

  • Exceptional legal research and writing abilities

  • High attention to detail and strong organizational skills

  • Ability to delegate and oversee tasks efficiently

  • Strong interpersonal skills to collaborate with senior management and clients

  • Experience handling complex regulatory issues and compliance matters

Benefits:

  • 401(k) retirement plan

  • Paid holidays

  • Opportunities for career advancement

  • Supportive and collaborative work environment

This position offers a unique opportunity for an attorney looking to grow within the securities compliance sector while working with a dynamic legal team. Apply now to be part of an innovative firm dedicated to client success.

 

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Mar 17, 2025
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