Investment Management Associate (3+ Years) with Regulatory Experience, Knowledge of the Investment Advisers Act and Investment Company Act
Our client, a top global law firm with a leading Investment Funds Regulatory practice group, is currently seeking a highly qualified associate with a minimum of 3 years of relevant asset management regulatory experience. The ideal candidate should have a comprehensive understanding of the Investment Advisers Act of 1940 and the Investment Company Act of 1940. Experience in private equity and hedge fund formation will be advantageous. The group is renowned for providing legal, regulatory, and compliance advice to a diverse range of global clients, including investment advisers, family offices, and financial institutions. This involves handling complex corporate transactions involving investment advisers and funds, as well as counseling on SEC examinations, investigations, and enforcement proceedings. The role also encompasses advising on Investment Company Act issues, emphasizing regulatory, status, and structuring matters.
Job ID: 17864