Midlevel Corporate Associate with Expertise in Securities, Compliance, and Corporate Governance
Our client, a leading law firm, is seeking a mid-level associate to join its Capital Markets practice. The ideal candidate should have significant large law firm experience, outstanding academic credentials, and expertise in advising publicly traded companies on securities offerings (both debt and equity), federal securities laws, stock exchange requirements, Sarbanes-Oxley Act, Dodd-Frank Act regulatory and compliance issues, and corporate governance matters. This role is part of a practice recognized for its comprehensive advisory services to public and private companies, funds, underwriters, and others in various securities transactions and corporate governance. The team’s expertise spans structuring transactions from private placements and IPOs to large-cap public company offerings, covering a wide range of industries such as energy, financial services, life sciences, and technology. More than 20 of their lawyers have backgrounds with FINRA and the SEC, enabling them to navigate complex regulatory issues. The practice is also known for its experience in IPOs, especially for emerging growth companies and in diverse sectors, with a global client base including companies in China and the Asia-Pacific region.
Job ID: 18000