Financial Services - Associate Attorney (Multi Office)
FINANCIAL SERVICES - ASSOCIATE ATTORNEY
Financial Services & Investment Management Practice Group
Location: Los Angeles, CA\ San Francisco, CA\ Boston, MA\New York, NY\Philadelphia, PA\ Washington, DC
HYBRID
O ur client, a global AmLaw 50 law firm , with a nationally recognized Financial Services practice , is seeking a talented Associate Attorney to join its growing team. This is an exceptional opportunity to work within one of the industry’s most sophisticated asset management and financial regulatory practices, advising a diverse client base that ranges from emerging managers and boutique firms to some of the world’s largest financial institutions. The practice has been at the forefront of innovation in the financial services space for decades, offering attorneys exposure to cutting-edge regulatory, compliance, and enforcement matters across the global asset management landscape.
Candidate Profile
- JD from a top-tier law school with an excellent academic record .
- Active Bar Admission in relevant jurisdiction , in good standing.
- 3-7 years of substantive experience in financial services, investment management or securities law .
- Strong working knowledge of the Investment Company Act of 1940 and/or the Investment Advisers Act of 1940
- Experience advising asset managers, investment funds, and financial services firms on regulatory and compliance matters
- Exposure to exchange-traded funds (ETFs), interval funds, business development companies (BDCs), or global asset management regulation is a plus
Exposure to broker-dealer, commodities, and/or digital asset matters preferred
- Large law firm, in-house, or regulatory agency experience strongly preferred
- Excellent written and verbal communication skills, strong analytical abilities, and exceptional organizational skills
Ability to manage multiple matters and work effectively in a collaborative environment
Key Responsibilities
- Advise asset managers, investment advisers, broker-dealers, and investment funds on a wide range of federal securities and financial services regulatory matters
- Counsel clients on fund formation, registration, compliance, and ongoing regulatory obligations
- Assist clients with regulatory examinations, investigations, and enforcement matters
- Provide guidance on broker-dealer and commodities regulation , as well as emerging issues involving blockchain and digital assets
- Work closely with clients on cross-border regulatory issues impacting global asset management operations
Collaborate with cross-functional teams to deliver strategic, business-oriented legal solutions
Why Join Us?
This is a unique opportunity to join one of the most established and forward-thinking financial services practices in the industry. With decades of experience advising market participants, the team remains at the cutting edge of regulatory developments and innovation in asset management. Attorneys benefit from sophisticated, high-impact work, strong mentorship, and a collaborative environment that supports professional growth and long-term career advancement.
Compensation & Benefits
- Competitive Salary: $260,000+ , commensurate with experience and class year.
- Comprehensive Benefits Package: Includes medical, dental, vision, life, and pet insurance, extensive emotional health resource programs, social connectedness programs, 401(k) and retirement plans, generous PTO, parental leave, family concierge, commuter benefits, relocation allowance, professional development resources, and additional firm-sponsored programs
.
Application Requirements
Interested candidates should submit a cover letter , resume , and law school transcript for consideration.
Our client is an Equal Opportunity Employer .
#LI-DNP
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