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Years of Experience
ProfileWashington, D.C. office of a BCG Attorney Search Top Ranked Law Firm seeks mid-level financial service regulatory and enforcement associate attorney with 5-7 years of experience. The ideal candidate should currently or have previously worked or dealt with SEC, FINRA or another SRO or worked in-house at a financial institution. Previous experience in the Broker-Dealer industry as a bond trader, research analyst, compliance officer, or counsel is preferred, as well as any specialty certifications in securities regulation or as a Certified Anti-Money Laundering Specialist.
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