The candidate will provide legal counsel and support to Bank’s consumer and business deposit areas regarding regulatory, product development, contract negotiation, complaint, and other matters. Will assist in: Researching and advising on matters relating to interpretation and compliance with applicable state and federal laws relating to deposit accounts and related services, such as the Electronic Fund Transfer Act, Expedited Funds Availability Act, Truth...
Commercial Equipment Finance Counsel
The candidate will join a small and growing practice group in the Legal Department providing legal counsel and support to the Commercial Equipment Finance (CEF) division, a specialty lending business unit of company’s commercial banking division, responsible for (i) due diligence, document preparation, negotiation and “life of the deal” support in connection with mid-size, small ticket, and participated or assigned commercial equi...
Philadelphia office of our client seeks banking attorney with 5-15 years of experience. The candidate should have a minimum book of business of $100,000.
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Business Support Manager Level II – Public Policy
The candidate will provide responsibilities include: Process development, governance and adherence to lobbying and campaign finance laws and regulations. Responsible for the development of regulatory documentation, presentation materials, status updates, communications and reporting on various campaign finance and legislative lobbying activities across Public Policy. Also may provide support to external consultants, perso...
Real Estate and Commercial Finance Attorney
The candidate should have good academic credentials. Experience originating CMBS loans, and experience with intercreditor and co-lender agreements desired. Focus is on real estate finance, but asset based and commercial lending work a strong plus.
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The candidate must have 4+ years of experience providing legal advice on securities, banking and/or insurance regulatory matters and academic credentials (J.D.). Must have experience providing interpretive advice under the Investment Company Act of 1940 and the Investment Advisers Act of 1940 to mutual funds, ETFs and other pooled investment vehicles. Experience preparing SEC exemptive applications and no action letters is a plus. Experience advising a gl...
Compliance Product Officer – Credits Operations
Responsibilities: Serves as a Credit Operations compliance risk officer for Independent Compliance Risk Management (ICRM) responsible for assisting with internal strategies, policies, procedures, processes, and programs to prevent violations of law, rule, or regulation and design and deliver a risk management framework that maintains risk levels within the firm’s risk appetite and protect the franchise. In addition, engag...