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Mid- to Senior-level Financial Services Compliance and Regulatory Associate

Full-time 5 views

Law Firm

Culver City, CA, United States

Mid- to Senior-level Financial Services Compliance and Regulatory Associate

Attorney

Min 4 yrs required

Full-time

No

Mid- to Senior-level Financial Services Compliance and Regulatory Associate
The candidate must have 4+ years of experience working on compliance and regulatory matters. Should ideally have experience working with and counseling registered investment advisors and broker-dealers on regulatory and compliance-related issues, including issues concerning the Investment Advisers Act of 1940 and the Investment Company Act of 1940. Desired skill sets include: statutory and regulatory analysis and application, legal writing, securities offerings, and corporate and governance principles. Should ideally have experience with regulators including the SEC and FINRA. Prior law firm experience or work experience at the SEC or FINRA is preferred. Must be a member of a local Bar in good standing.

Not specified

Bonus, health insurance, HSA, short term disability, long term disability, dental insurance, vision care, life insurance, Healthcare and Dependent Care Flexible Spending Accounts, 401(k), vacation, sick time, employee assistance program, voluntary accident insurance, voluntary life, voluntary disability, voluntary long-term care, pet insurance, commuter and transit programs

Not specified

Statutory and Regulatory Analysis, Legal Writing, Communication, Client Service

Not specified

Apply online and upload a cover letter, resume, law school transcript, and a list of representations.

Legal

Jul 25, 2024
Apr 11, 2024
Jan 12, 2024

Job Feedback

Law Firm

Attorney

Min 4 yrs required

Full-time

Legal

Apr 11, 2024

Jul 25, 2024

Apr 11, 2024

Profile

Mid- to Senior-level Financial Services Compliance and Regulatory Associate
The candidate must have 4+ years of experience working on compliance and regulatory matters. Should ideally have experience working with and counseling registered investment advisors and broker-dealers on regulatory and compliance-related issues, including issues concerning the Investment Advisers Act of 1940 and the Investment Company Act of 1940. Desired skill sets include: statutory and regulatory analysis and application, legal writing, securities offerings, and corporate and governance principles. Should ideally have experience with regulators including the SEC and FINRA. Prior law firm experience or work experience at the SEC or FINRA is preferred. Must be a member of a local Bar in good standing.

Additional info

Apply online and upload a cover letter, resume, law school transcript, and a list of representations.

Company info
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