Corporate (Securities) Attorney

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Scottsdale, AZ

Corporate (Securities) Attorney

Attorney

2-20 yrs required

No

Job Overview:
A leading national law firm is seeking a Corporate Securities Attorney with 5–12 years of experience to join its Corporate Business Unit. This position offers the opportunity to work from any of the firm’s . offices and focuses on securities compliance, regulatory filings, and corporate advisory work. Candidates should possess strong securities law experience, attention to detail, and excellent communication skills, along with a proactive and collaborative work style.

Location:

  • Scottsdale, AZ

Duties:

  • Prepare and file documents with the Securities and Exchange Commission (SEC), FINRA, NYSE, Nasdaq, and the OTC Markets Group.

  • Advise clients on securities law compliance, disclosure obligations, and corporate governance matters.

  • Draft and review disclosure documents including 10-Ks, 10-Qs, 8-Ks, proxy statements, and registration statements.

  • Provide counsel on public and private securities offerings.

  • Collaborate with colleagues across corporate practice groups to serve client needs.

  • Monitor regulatory developments affecting clients' public reporting and compliance obligations.

Requirements:

  • 5–12 years of experience practicing corporate securities law.

  • Strong background in SEC filings, securities compliance, and corporate governance.

  • Excellent interpersonal, verbal, and written communication skills.

  • Ability to manage multiple deadlines and deliver high-quality work in a fast-paced environment.

  • Detail-oriented with a commitment to client service.

  • Licensed to practice law in the jurisdiction of residence or eligible for admission without examination.

Education:

  • Juris Doctor (JD) degree from an accredited law school.

Certifications:

  • Active license to practice law in a . jurisdiction or eligibility for admission without examination.

Skills:

  • Expertise in SEC, FINRA, NYSE, Nasdaq, and OTC Markets Group filings.

  • Strong drafting and analytical abilities.

  • Skilled in advising corporate clients on securities and regulatory compliance matters.

  • Ability to build trusted client relationships.

  • Familiarity with public and private securities offerings.

Benefits:

  • Annual discretionary bonus eligibility.

  • Health insurance with optional HSA/FSA participation.

  • Short-term and long-term disability insurance.

  • Dental and vision care plans.

  • Life insurance coverage.

  • 401(k) retirement plan with employer contributions.

  • Paid vacation and sick leave.

  • Parking/public transportation allowance.

  • Employee Assistance Program (EAP).

  • Opportunity for professional growth within an AmLaw 200 firm environment.

Jun 16, 2025
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