Opening Details

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Description: Financial Services/Regulatory

Position: Associate

Notes: Firm is seeking an associate with 5-7 years of experience for its Broker-Dealer Regulation & Compliance practice. Experience working with SEC, FINRA or another SRO or in-house at a financial institution is preferred. Experience in the Broker-Dealer industry as a bond trader, research analyst, compliance officer, or counsel is preferred. Firm is a leading global law firm with offices in key business centers across three continents. The firm offers clients access to local market expertise on a global basis. Noted for its commitment to client service and its ability to assist clients with their most complex and demanding legal and business challenges, the firm serves many of the world?s largest companies, including a significant proportion of the Fortune 100, FTSE 100 and DAX companies and more than half of the world's largest investment banks. The firm is particularly renowned for its Supreme Court and appellate, litigation, corporate and securities, finance, real estate, IP and tax practices.

Years Experience: (5 - 7)

Specialty:

Bar Requirements: District of Columbia

Language:

Location: USA - DC - Washington

Date Opened: 06/07/2021

Code: 4508764

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I am not a typical candidate working as a consultant at a fund formation company for the last 12 years. I had been sending my resumes unsuccessfully for a while until Mitchell contacted me after he received it. With my permission, he then sent my resume to multiple top law firms. Within a month, I had an interview at one of the largest US firms and had an offer shortly after that. I am very grateful that Mitch took a chance on me.
Fund Formation Sr Associate