Recruiter
Atlanta, GA, United States
Midlevel Securities Compliance Attorney
Attorney
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.
Legal
BCG Attorney Search
Mar 17, 2025
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Feb 15, 2025
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