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ProfileNew York City office of an AmLaw firm seeks mid-level associate attorney with 3+ years of experience providing legal advice and representation to financial institutions clients with respect to financial regulatory matters. The candidate will provide legal advice and representation to financial institutions clients with respect to financial regulatory matters. Must have experience advising on the rules and regulations adopted by the Federal Reserve, the OCC and the FDIC; researching and analyzing issues related to the Dodd-Frank Act and the Bank Holding Company Act, including the Volcker Rule, the Federal Reserve Act, the Federal Deposit Insurance Act and the National Bank Act; advising on resolution planning and developing, drafting, and reviewing plan sections and supporting materials, including supporting legal memoranda, board governance playbooks and board presentation materials, in preparation for 165(d) and IDI resolution plans of G-SIBs and U.S. regional banks; advising on financial institutions? bank regulatory policies and procedures on the Bank Holding Company Act and the Volcker Rule; analyzing and advising on bank holding companies? nonbanking activities, providing control analysis in connection with asset acquisitions and investments and advising on conformance actions; preparing financial institutions? regulatory filings and applications, including bank holding companies' annual report form filings and interagency bank merger act applications; drafting and editing legal memoranda, opinions, reporting and notice forms, and correspondence with regulators. Must be admitted to practice law in the State of New York.
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