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Global Asset Manager Regulation Associate Attorney

Full-time 4 views

Recruiter

Boston, MA, United States

Global Asset Manager Regulation Associate Attorney

Attorney

BCG Attorney Search

Company Review

2-8 yrs required

Full-time

No

A law firm in Boston is seeking a Global Asset Manager Regulation Associate Attorney with 3-6 years of asset management regulatory experience. The candidate must have a strong understanding of federal securities laws, particularly the Investment Advisers Act. Experience in a large law firm or a combination of law firm and in-house or regulatory agency is required. Additional experience advising clients on cross-border regulatory matters and diverse product lines is a plus.

 

Duties:

  • Demonstrate a strong understanding of federal securities laws, especially the Investment Advisers Act.
  • Provide legal counsel on asset management regulatory matters.
  • Advise clients on cross-border regulatory issues.
  • Offer legal guidance to clients with diverse product lines.

 

Requirements:

  • 3-6 years of asset management regulatory experience.
  • Knowledge of the Investment Advisers Act.
  • Experience in a large law firm or a combination of law firm and in-house or regulatory agency.

 

Skills:

  • In-depth knowledge of federal securities laws.
  • Familiarity with the Investment Advisers Act.
  • Ability to advise on cross-border regulatory matters.
  • Experience with diverse product lines is a plus.

Legal

Mar 04, 2024

Job Feedback

Recruiter

Attorney

2-8 yrs required

Full-time

Legal

Mar 04, 2024

Profile

A law firm in Boston is seeking a Global Asset Manager Regulation Associate Attorney with 3-6 years of asset management regulatory experience. The candidate must have a strong understanding of federal securities laws, particularly the Investment Advisers Act. Experience in a large law firm or a combination of law firm and in-house or regulatory agency is required. Additional experience advising clients on cross-border regulatory matters and diverse product lines is a plus.

 

Duties:

  • Demonstrate a strong understanding of federal securities laws, especially the Investment Advisers Act.
  • Provide legal counsel on asset management regulatory matters.
  • Advise clients on cross-border regulatory issues.
  • Offer legal guidance to clients with diverse product lines.

 

Requirements:

  • 3-6 years of asset management regulatory experience.
  • Knowledge of the Investment Advisers Act.
  • Experience in a large law firm or a combination of law firm and in-house or regulatory agency.

 

Skills:

  • In-depth knowledge of federal securities laws.
  • Familiarity with the Investment Advisers Act.
  • Ability to advise on cross-border regulatory matters.
  • Experience with diverse product lines is a plus.

Company info
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