Job Details

Corporate - Securities and Capital Markets Attorney / Insurance Coverage Attorney in Boston, MA

Organization Type


Job Type


Posted on

Jun 10, 2021

Years of Experience

Min 10 yrs required


Boston, MA, United States
Practice Area
Corporate >> Corporate - Securities and Capital Markets
Insurance Coverage >> Insurance Coverage
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AVP & Senior Counsel
Duties: Support the life insurance product development initiatives of companies with timely and actionable legal advice and recommendations related to new and innovative life products and the insurance and securities issues impacting them. Prepare filings with state and federal regulatory agencies, including registration statement filings with the SEC, to ensure ongoing compliance with applicable disclosure and reporting obligations. Support the Company’s distribution team with contract and regulatory issues relating to the marketing and distribution of life insurance products. Assess and advise of known legal and other risks and assess and report to the appropriate Company officers. Engage outside counsel when appropriate after obtaining the necessary approvals, and manage the process of selecting, hiring, monitoring, paying and providing guidance and direction to such outside counsel. Actively participate in and support relevant public policy, regulatory and lobbying activities and initiatives of industry trade organizations that are relevant to our products and company. Mentor junior counsel and associates. Participate in industry conferences, presentations, committees and working groups to stay up to date on hot topics that may impact our business. Assists with the organization and management of the legal work associated with large-scale, multi-dimensional business projects. Supports overall mission, with a focus upon legal, compliance and risk management objectives. Supports corporate governance model, with thorough understanding of governance documents, corporate policies and standard operating procedures. Maintains an understanding of the larger insurance and financial industry, with a focus upon legal and regulatory developments that are likely to impact our clients’ business objectives. Actively pursues opportunities for skills training and professional development.

Qualification and Experience

Requirements: JD Degree or equivalent degree, with strong academic record. Licensed to practice law in a U.S. jurisdiction. 10+ years of relevant experience, including extensive knowledge of state insurance laws, federal securities laws, and SEC regulations. Very strong analytical skills. Impeccable written and verbal communication skills. Well organized, with a strong attention to detail. An understanding of financial principles and risk. Superior influencing and negotiation skills.

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