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Mid-Level - Senior Financial Services Compliance And Regulatory Associate Attorney
BCG Attorney Search
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Job Summary
Location
San Francisco ,CA 94199
Job Type
Contract
Visa
Any Valid Visa
Salary
PayRate
Qualification
BCA
Experience
2Years - 10Years
Posted
16 Feb 2025
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Job Description
Mid-Level - Senior Financial Services Compliance And Regulatory Associate Attorney
Company name:
BCG Attorney SearchExperience:
1-8 yrs requiredPosted on:
Oct 07, 2024Job Overview:A law firm in San Francisco, CA, is seeking a highly skilled and experienced Mid-Level - Senior Financial Services Compliance and Regulatory Associate Attorney. This role provides expert legal counsel on regulatory and compliance matters related to registered investment advisors and broker-dealers. The ideal candidate will have a deep understanding of financial regulations, a strong background in working with regulatory bodies such as the SEC and FINRA, and a commitment to exceptional client service.Duties:Advise and represent registered investment advisors and broker-dealers on compliance and regulatory issues.Conduct statutory and regulatory analysis and application, focusing on the Investment Advisers Act of 1940 and the Investment Company Act of 1940.Develop and implement compliance programs and policies in alignment with regulatory requirements.Draft, review, and negotiate legal documents, including contracts, compliance manuals, and regulatory filings.Counsel clients on securities offerings and corporate governance principles.Interact with and respond to inquiries from regulatory agencies, including the SEC and FINRA.Prepare and deliver oral and written communications to clients and regulatory bodies.Conduct legal research and stay updated on industry trends and regulatory changes.Assist in handling investigations and enforcement actions involving regulatory agencies.Collaborate with internal teams and contribute to the firm's business development efforts.Requirements:4 years of experience in compliance and regulatory matters related to financial services.Proven experience in counseling registered investment advisors and broker-dealers.In-depth knowledge of the Investment Advisers Act of 1940 and the Investment Company Act of 1940.Experience working with the SEC and FINRA is highly desirable.Membership in the California Bar in good standing is required.Education:Juris Doctor (JD) degree from an accredited law school.Certifications:Active member of the California State Bar.Skills:Strong expertise in statutory and regulatory analysis and application.Excellent legal writing and research skills.Proficiency in securities offerings and corporate governance principles.Outstanding oral and written communication abilities.High commitment to client service and professionalism.Ability to work effectively under pressure and manage multiple tasks.Prior experience in a law firm or with regulatory bodies such as the SEC or FINRA is preferred.Location:San Francisco, CACompany info:BCG Attorney Search1750 Montgomery St Fl 1San FranciscoCaliforniaUnited States 94111Phone:
(415) 464 6897Fax:
(213) 895-7306
#J-18808-Ljbffr
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